Develop and implement cash management strategies to optimize liquidity, manage working capital, and minimize risk.
Lead the cash forecasting process to accurately predict cash flow requirements and optimize investment opportunities.
Monitor and analyze cash balances, banking activities, and cash flow trends to identify opportunities for improvement.
Manage relationships with banking partners and negotiate terms for cash management services, including banking fees and interest rates.
Provide guidance and mentorship to junior members of the cash management team.
Collaborate with cross-functional teams to optimize cash management processes and drive efficiencies.
Prepare and present cash management reports to management.