Position overview
Support the North American Treasury operations and projects. Support Cash Management and Cash Forecasting for various U.S. and Canadian subsidiaries (Shared Services). Support local and global projects within Corporate Finance and Treasury. Collaborate closely with other areas such as Accounting, IT, Tax, Internal Controls, Legal and business units across the company as well as with banking partners.
Roles & responsibilities
Primary responsibilities:
Qualifications
Education:
Bachelor's degree in Finance, Business, or Economics required
MBA is highly desirable
Experience:
Skills:
Competencies: