Cash Management and Forecasting Specialist

StellantisAuburn Hills, MI
7d

About The Position

At Stellantis, we want to empower you to bring your best. That's why we strive to create an environment where our core values of Innovation, Leadership, Passion, Cooperation, and Responsibility can thrive. In Treasury, you'll work in a dynamic, fast-paced environment with people who exemplify the entrepreneurial spirit and work together as a team to continually think bigger and bolder. We are seeking a detail-oriented and proactive Cash Management and Forecasting Specialist to supervise the daily cash position for North America Car Mass Market and affiliated support entities. This role plays a critical part in maintaining liquidity, optimizing cash flow, and supporting treasury forecasting needs.

Requirements

  • Bachelor's degree with concentration in Accounting, Finance or related field
  • 8 + years of experience in Accounting/Finance or related field
  • Excellent analytical, verbal and written communication skills
  • Attention to detail and accuracy
  • Ability to multitask, and to prioritize and manage multiple projects

Nice To Haves

  • Master's degree in Business Administration, highly preferred
  • CPA, CFA or CTP designation
  • Treasury, Forecast, PowerBI and SAP experience preferred
  • Proven track record of proactively seeking solutions, generating innovative ideas, continuously developing skills, and driving process improvements

Responsibilities

  • Monitor and analyze daily cash positions, including short-term cash flow reviews and variance analysis
  • Communicate cash requirements or surpluses to the investment manager in a timely manner
  • Execute cash settlements via banking platforms: initiate, confirm, approve, and release wire transfers in accordance with approval protocols
  • Support global liquidity operations, including management of cash pooling structures, and intercompany loan transactions
  • Collaborate with the cash forecasting team to incorporate near-term cash flow updates
  • Maintain and strengthen relationships with banking partners to support treasury operations
  • Timely, accurate and complete forecast submissions to Group Treasury and North America Senior Management
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