Primary functions and essential responsibilities
• Perform cash management operations, including multi-currency cash pooling, intercompany funding structures, and short-term investment management across regions.
• Support treasury activities for fund groups, including Secondaries, Private Equity, and Co-investment.
• Support the management of credit facility activities, including forecasting facility requirements.
• Coordinate with regional finance teams across time zones to ensure optimal global cash positioning.
• Assist with the design, creation and implementation of liquidity and capital planning forecast models, including stress-testing functionalities.
• Collaborate with the Capital Solutions team to assess and monitor foreign exchange, interest rate, and counterparty risks.
• Drive initiatives for assessment and implementation of treasury workstations (e.g., Kyriba, FIS), including global system governance, regional workflow optimization, and integration with enterprise platforms.
• Drive enhancements and automation projects to improve visibility, efficiency, and accuracy in liquidity forecasting, cash management, payment processing, and reporting, including creation of PowerBi dashboards.
• Lead coordination for managing global cash positioning, banking relationships, and ensure compliance with internal controls and regulatory requirements.
• Participate to ensure compliance with internal controls, SOX requirements, and country‑specific regulatory standards.
• Support global corporate treasury responsibilities, including rating agency relationships, financial commitments tracking, and other strategic transactions.
• Preparation, delivery, and presentation of global treasury reports to executive leadership.