Prepare monthly divisional cash forecasts and partner with local finance teams on preparation and analysis
Anticipate short term capital needs within business units and allocate funding based off Treasury’s best practices
Lead cross border intercompany settlements
Assist with cash repatriation planning and MA funding
Maintain global investments in Kyriba treasury management system and Goldman Sachs’ Mosaic software
Oversee pre-trade coordination and post-trade settlement of FX trades with banking and divisional partners
Execution of foreign currency trades utilizing Bloomberg trading platform
Assist in the implementation of multilateral netting utilizing Kyriba treasury management system
Maintain knowledge of current market trends, currency fluctuations, and currency restrictions and requirements
Manager Treasury • bhopal, madhya pradesh, in