This role is responsible for leading cash and liquidity forecasting, improving finance and treasury processes, and supporting the management of the company's debt portfolio. The Manager will also lead the internal capital expenditure governance process, partner with leaders on capital requests, and track capital deployment. Additionally, the role involves providing decision-oriented analysis and presentation materials, leading finance and treasury transformation initiatives, and assisting with capital structure and balance-sheet strategy. The position also requires performing other duties as assigned and helping to scale treasury, capex governance, and strategic finance capabilities.
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Job Type
Full-time
Career Level
Manager
Education Level
No Education Listed