Cash Flow Analyst
Baubap(1 day ago)
About this role
This role owns Baubap’s end-to-end cash flow and short-term liquidity management, ensuring high-quality forecasting, disciplined liquidity control, and clear visibility into operating cash needs. The position is accountable for maintaining a rolling 13-week cash forecast and a 3-month liquidity view while coordinating with functional leaders to prevent unanticipated liquidity shortfalls.
Required Skills
- Cash Forecasting
- Liquidity Management
- FP&A
- Treasury
- Excel Modeling
- Google Sheets
- Scenario Analysis
- Data Validation
- Cash Controls
- Reconciliation
+5 more
About Baubap
startx.comStartX is the startup accelerator, fellowship, and community for Stanford students, professors, and alumni. It runs intensive accelerator and fellowship programs that provide mentorship, founder education, and introductions to investors and industry experts to help startups grow and fundraise. StartX-backed companies collectively exceed $40B+ in valuation, with founders raising on average over $24M. The organization emphasizes community-driven support and offers specialized resources and tracks (including life sciences/medical) alongside access to a broad mentor and investor network.