Opportunity Description
Advance your career as a Senior Treasury Manager at Autodesk, focusing on cash flow forecasting and strategic financial analytics. Join a team that drives decision-making with advanced modeling capabilities.
In this pivotal role, you will leverage over seven years of finance and treasury experience. Your expertise in cash flow optimization and analysis will help enhance corporate liquidity strategies. Collaborating with finance teams, you will improve forecasting processes while developing tools and dashboards for real-time financial insights.
Key Responsibilities:
• Lead the design of cash flow models effectively
• Optimize cash flow forecasting processes systematically
• Analyze financial data to inform business strategies
• Oversee treasury reporting and risk data management
• Develop analytic tools for improved decision-making
Requirements:
• 7+ years of finance experience in treasury
• Bachelor’s degree in finance or accounting
• Proficiency in Exc...
In this pivotal role, you will leverage over seven years of finance and treasury experience. Your expertise in cash flow optimization and analysis will help enhance corporate liquidity strategies. Collaborating with finance teams, you will improve forecasting processes while developing tools and dashboards for real-time financial insights.
Key Responsibilities:
• Lead the design of cash flow models effectively
• Optimize cash flow forecasting processes systematically
• Analyze financial data to inform business strategies
• Oversee treasury reporting and risk data management
• Develop analytic tools for improved decision-making
Requirements:
• 7+ years of finance experience in treasury
• Bachelor’s degree in finance or accounting
• Proficiency in Exc...
Interested in this opportunity? Apply now through Expertini.
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