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RTR Cash Management Analyst

Company

Aptiv

Location

Kraków, Poland

Type

Full time

Your role:

As an RTR Cash Management Analyst within our GBS Finance department, you will play a critical role in managing the company's treasury operations and cash management processes. You will serve as the primary liaison between the Treasury department and various Business Units, overseeing cash-related projects and ensuring accurate financial reporting. In your daily job you will be responsible for:

  • bank statements posting, control cash in transit accounts, reconcile cash positions and cash pools

  • process factoring and other treasury activities

  • reconciling accounts

  • analyzing financial transactions

  • adhere to closing schedules and reconcile general ledger accounts

  • identifying process improvements , participate in and lead special projects as assigned

  • work independently while collaborating with cross-functional teams to solve problems and implement effective solutions.

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