AVP, Cash Management
Jackson(2 months ago)
About this role
The AVP, Cash Management provides strategic oversight of the Treasury Operations function, ensuring the organization’s cash positioning, forecasting, and liquidity sufficiency align with corporate risk parameters. The role communicates financial results and liquidity status to senior management and external parties and supports development of cash management strategies and systems improvements.
Required Skills
- Cash Management
- Liquidity Forecasting
- Collateral Management
- Financial Reporting
- Risk Management
- Process Improvement
- Leadership
- Advanced Excel
- Python
- Analytical Thinking
+1 more
Qualifications
- Bachelor's Degree in Accounting or Finance
- Advanced Degree (Preferred)
- Professional Certification (Preferred)
About Jackson
jackson.comWe are committed to helping clarify the complexity of retirement planning—for everyone. Learn more about Jackson, and how we can help reduce the confusion that complicates your plans.
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