Founded in 1906, over the last 110+ years' CEMEX has grown into a global building materials company that provides high quality products and reliable service to customers and communities throughout the Americas, Europe, Africa, the Middle East, and Asia. Here at CEMEX we offer our employees competitive wages, career growth, excellent benefits including health, dental & vision plans, vacation or paid time off, employee assistance program and retirement plan options, along with over a century of stability to build your next career on! To learn more about our company culture and why you should join us, visit us at www.cemexusa.com/careers. For direct access to CEMEX Career Opportunities, visit us at https://jobs.cemex.com/. Job SummaryResponsible for all cash management activities for CEMEX USA. Primary activities include cash forecasting, collection and disbursement oversight, and execution of company investment strategy. Manage securitization program ensuring compliance with all contractual obligations. Oversee Supply Chain Finance programs enhancing the company’s Working Capital. Lead efforts to identify and implement initiatives resulting in Working Capital and EBITDA improvements
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
5,001-10,000 employees