About the Role
As a highly skilled and ambitious financial analyst, you will play a pivotal role in driving business growth and success by owning the Americas 3-month direct cash-flow forecast, automating data pipeline and reporting pack, and turning numbers into actionable liquidity insights.
Responsibilities
 * Forecast Ownership: Gather, cleanse, and structure inputs for the 13-Week Forecast (Americas) to ensure accuracy and efficiency.
 * Data Automation: Develop and implement automation solutions to streamline data pipeline and reporting processes, reducing manual errors and increasing productivity.
 * Liquidity Insights: Analyze and present financial data to stakeholders, providing actionable recommendations to drive business decisions and improve forecasting accuracy.
 * Process Standardization: Establish and maintain standardized processes for the region, ensuring consistency and quality in financial reporting and analysis.
What You'll Need
To succeed in this role, you will need:
 * A strong understanding of financial principles and analysis techniques.
 * Excellent data analysis and interpretation skills.
 * Ability to communicate complex financial information effectively to stakeholders.
 * Strong problem-solving and analytical skills.
 * Experience with data automation and reporting tools.
Benefits
This role offers a unique opportunity to grow your career and make a meaningful impact on the organization. You can expect:
 * A competitive salary and benefits package.
 * Opportunities for professional development and growth.
 * A dynamic and supportive work environment.