About this Position
Treasury & Financial Planning and Analysis Senior Analyst role focused on cash flow and liquidity management, working capital optimization, financial risk and funding strategy.
What you´ll do
- Manage treasury operations, including daily cash positioning and accurate short- and long-term cash flow forecasting.
- Drive working capital optimization initiatives to improve receivables, payables, inventory efficiency, and the cash conversion cycle.
- Monitor financial risks and manage foreign exchange (FX) exposures and related mitigation strategies.
- Develop and execute debt and funding strategies, including managing credit facilities, optimizing funding costs, and ensuring adequate liquidity.
- Oversee OTC operations, ensuring accuracy, timeliness, compliance, and effective management of the trade lifecycle.
- Ensure governance, compliance, and internal control standards by enforcing policies, maintaining audit readiness, and resolving audit findings in a timely manner.