We are seeking a detail-oriented Cash Flow Planning & Treasury Manager to support short-term liquidity management and treasury reporting. This role is responsible for maintaining and enhancing the 13-week cash flow forecast, delivering timely weekly cash updates, and supporting treasury-related analysis and reporting to help guide near-term cash decisions. The Cash Flow Manager ensures leadership has accurate, real-time visibility into liquidity and can act quickly to manage risks and opportunities.
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Job Type
Full-time
Career Level
Mid Level