Leads, monitors, and manages the company’s daily cash operations to ensure liquidity, accuracy, control, and compliance across all bank accounts and payment activities. This role is responsible for overseeing cash positioning, short-term forecasting, cash concentration, payment execution, bank account administration, ATM programs, internal credit card programs, expense report processing, and fraud risk mitigation. Ensures company cash is protected, visible, and efficiently deployed while driving continuous improvement in cash-related processes and systems.
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Job Type
Full-time
Career Level
Manager