Forecasts the cash and liquidity needs of the organization and ensures there is sufficient cash to meet operational needs | Determines when additional cash is needed and raises funds through the issuance of debt and/or sale of stock | Monitors the structural position of the organization's balance sheet to ensure the capital structure and investment allocation are optimal and consistent with the organization's investment policy and strategy | Processes outgoing and incoming cash activity and monitors transactions for compliance with legal and regulatory requirements | Tracks securities and other financial assets pledged as collateral to secure funds | Liaises and negotiates with banks, credit rating agencies and other institutions and maintains effective relationships with the financial community | May evaluate complex transactions for various business units to assess financial risk and funding implications.
Impact of the Role
General Profile
Preferred Qualifications
Physical Demands:
Travel:
The above statements describe the general nature and level of work only. The statements do not represent an exhaustive list of required responsibilities and skills. Other duties may be added or this job description may be amended at any time. This job description does not alter an employee’s at-will employment status or create an employment agreement or contract, implied or otherwise.
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