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Regional Cash Management Analyst

Aptiv

Kraków, Podgórze +1 mehr
Praca hybrydowa
Umowa o pracę
Umowa o pracę
🏠 Praca hybrydowa
Pełny etat

Your responsibilities

  • Monitor daily cash positions and execute cash concentration, funding, and investment activities for entities in the assigned region.
  • Assist in the preparation and analysis of short-term cash flow forecasts and variance analyses.
  • Coordinate local funding needs, including intercompany loans, payments, and capital contributions.
  • Support bank account administration activities such as account openings, closures, and mandate updates in partnership with global treasury and legal.
  • Liaise with local finance teams to resolve cash or payment-related issues and ensure visibility into liquidity needs.
  • Assist with reconciliation of cash balances and daily reporting packages, ensuring timely and accurate data delivery.
  • Ensure compliance with internal treasury policies, controls, and documentation requirements.
  • Identify and implement process improvement opportunities related to cash flow reporting, forecasting, and automation.

Our requirements

  • Your Background
  • • 2–4 years of experience in corporate treasury, banking, finance operations, or related field.
  • • Familiarity with cash management processes, treasury operations, or regional bank account structures.
  • • Strong analytical and Excel skills; experience with treasury management systems (e.g., Kyriba, Reval) is a plus.
  • • Ability to manage multiple priorities and communicate effectively across regions and functions.
  • • Bachelor’s degree in Finance, Accounting, Business Administration, or related discipline.
  • • Multinational corporate or shared services experience preferred.
  • What You’ll Bring
  • • Be Reliable: Timely and accurate execution of daily cash operations and reporting tasks.
  • • Be Detail-Oriented: A disciplined approach to cash data, forecasts, and reconciliations.
  • • Be Collaborative: A team-first mindset when working across functions and cultures.
  • • Be Proactive: Eagerness to suggest and implement improvements in cash processes and controls.
  • • Be Organized: Capable of managing workflows independently in a fast-paced, global environment.

What we offer

  • Private health care (Signal Iduna) and Life insurance for you and your beloved ones

  • Well-Being Program that includes regular webinars, workshops, and networking events

  • Access to sports groups and Multisport card

  • Hybrid work (min. 47 days/yr of remote work, flexible working hours)

  • Employee Pension Plan paid by the employer (you get + 3,5% on each gross salary)

Aufrufe: 5
Veröffentlichtvor 4 Tagen
Läuft abin 1 Tag
Art des VertragsUmowa o pracę
ArbeitsmodusPraca hybrydowa
Quelle
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