Cash Forecasting Analyst
Avantor(3 months ago)
About this role
Cash Flow & Cash Forecasting Analyst responsible for managing and optimizing cash flow forecasting processes and ensuring accurate tracking and reporting of cash movements within Corporate Treasury. The role supports treasury data integrity, reporting, and audit procedures while providing actionable liquidity insights to senior management and stakeholders.
Required Skills
- Cash Forecasting
- Financial Analysis
- Liquidity Management
- Cash Reconciliation
- Financial Modeling
- Excel
- Stakeholder Management
- Reporting
- Forecasting
Qualifications
- Bachelor’s Degree in Finance, Accounting, or Economics
- CFA
- CMA
- CPA
About Avantor
avantorsciences.comAvantor sets science in motion by enabling innovation across the life sciences and technology industries. Learn more about Avantor and its solutions. | Avantor
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