Description
Candidate specification: • Excellent knowledge of General Accounting including Financial and Management Reporting. • Responsible for developing and maintaining relationship with Shared Services/Treasury and also Business Stakeholders
Engagement role specific: Responsible for driving and managing the below from his team and accountable for the output and results • Deliver Short-term (30–90 days) and long-term (1–2 years) cash flow models • Design and Operationalize – Cash Forecast /Cash Pacing Reports • Drive Increased Cash Forecasting Accuracy • Develop and execute Delivery excellence strategy and initiatives in the process. • Responsible as Escalation Point for key service outcomes and issue resolution • Manage and Maintain – Process Documentation and Training Plans • Risk Management – Related to Cash Management and Mitigation Planning • Liquidity Management and Trend Analysis • Bank Relationship Management • Compliance Reporting and Audit Support as required • Advanced command of Excel and corporate treasury or forecasting systems • Understanding and Operational knowledge of Treasury Systems
Educational qualification:
Graduation in Accounting
CFA/CPA/CTP Preferred
Experience:
12-15 Yrs
ERP:
SAP/JDE
Industry preference:
Consumer Products Retail & Distribution
Manufacturing
Technical Proficiency:
Analytical Acumen Strong ability to spot trends, interpret financial statements, and construct driver-based planning assumptions. Analyze Opportunities for Simplification by Standardization and Automation Originally