Found Description
Elevate your career at Autodesk as a Senior Treasury Manager with a focus on cash flow forecasting and optimization. Utilize advanced analytics to drive financial decision-making capabilities.
In this role, you will lead sophisticated cash flow modeling while collaborating with finance teams. You will analyze historical data, identify trends, and enhance the accuracy of cash forecasting processes. Your strategic insights into liquidity and capital management will align treasury activities with overall corporate objectives.
Key Responsibilities:
• Lead the design and implementation of cash flow models
• Optimize cash flow forecasting processes for enhanced performance
• Analyze financial data to support key business initiatives
• Oversee treasury-related reporting and risk data consolidation
• Develop analytic tools and dashboards for real-time decisions
Requirements:
• 7+ years in finance with treasury experience
• Bachelor’s degree in finance or accountin...
In this role, you will lead sophisticated cash flow modeling while collaborating with finance teams. You will analyze historical data, identify trends, and enhance the accuracy of cash forecasting processes. Your strategic insights into liquidity and capital management will align treasury activities with overall corporate objectives.
Key Responsibilities:
• Lead the design and implementation of cash flow models
• Optimize cash flow forecasting processes for enhanced performance
• Analyze financial data to support key business initiatives
• Oversee treasury-related reporting and risk data consolidation
• Develop analytic tools and dashboards for real-time decisions
Requirements:
• 7+ years in finance with treasury experience
• Bachelor’s degree in finance or accountin...