Job Description

Key areas of responsibility are as follows:

Daily Cash - APAC

  • Prepares daily cash position for assigned markets, ensuring sufficient funding to cover daily payments; determines excess cash for repatriation to Group
  • Instructs payments to AP team or local Treasury to fund Treasury payments including bank transfers
  • Prepares cash flow forecast for review of the country Finance Director; reviews actuals vs. forecast to improve forecast accuracy
  • Identifies any requirement to setup ICO overdraft or loan facilities

Local Payments

  • Prepares payments for non-TIS payment methods for trade transactions, including government disbursements for specific markets
  • Ensures payment for Treasury flows are initiated and approved (ex. ICO loan payments, FX settlement, etc
  • Prepares relevant documentation for supplier related credit availment, payment and facility documentation
  • Coordinates operational ac...

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