Responsible for cash administration activities to minimize the organization's exposure to credit, interest, and foreign exchange risk. Responsibilities include cash flow monitoring and reporting, hedging for interest rate, currency, and commodity risk, determining counterparty risk, etc. Also involved in corporate finance structure and funding (e.g., funding sources and instruments, capital structure, dividend program, investment appraisal, portfolio management, etc.) and stakeholder relations related to external funding.
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Job Type
Full-time
Career Level
Senior