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Manager, Forecasts & Analytics – Treasury

Job in Rockford, Winnebago County, Illinois, 61103, USA
Listing for: Jobtailor
Full Time position
Listed on 2026-08-16
Job specializations:
  • Finance & Banking
    Financial Analyst, Corporate Finance, Risk Manager/Analyst, Financial Reporting
Salary/Wage Range or Industry Benchmark: 85000 - 110000 USD Yearly USD 85000.00 110000.00 YEAR
Job Description & How to Apply Below
  • Manage the 13-week cashflow forecast tool
  • Manage the 13-week forecast weekly update and actualization
  • Manage the one-and-12-month forecasts
  • Develop ad hoc models for forecasting or cashflow analysis
  • Develop and maintain activity performance trackers
  • Expand forecasting models scope, time horizon and accuracy
  • Manage and enhance the Americas collections and disbursement predictability program
  • Assist with the management of the daily global liquidity for the Americas
  • Assist with the management of the debt covenant documentation
  • Support bank accounts life cycle, including KYC, signatories and documentation
  • Support treasury processes optimization and implementation of related standard works
  • Support the Treasury documentation central repository life cycle
  • Maintain the external debt documentation
  • Supports the execution of wire transfers and other funding necessary to balance company’s daily cash position
  • Initiates or approves non-AP Payments
  • Execute foreign currency trade with banks for internal fund transfers and payments/receipts
Requirements
  • Bachelor's degree in Finance
  • 3-5 years of experience in corporate treasury
  • Proficient in Microsoft Excel
  • Significant experience with cashflows modeling and 13 weeks’ forecast model & actualization process
  • Experience with Treasury back-office operations
  • Experience of financial systems like SAP is preferred
  • Personal integrity - ability to uphold stakeholders’ confidence and trust
  • Ability to deliver within defined timelines
  • Good communication skills and self-motivated
Core Competencies

Demonstrates expertise in cashflow forecasting, treasury operations, and financial modeling, with a strong focus on accuracy and timely execution. Proficient in managing financial documentation and optimizing treasury processes to enhance operational efficiency.

Highest-signal resume keywords
  • Cashflow Forecasting
  • Treasury Back-Office Operations
  • Microsoft Excel Proficiency
  • Financial Systems Experience (SAP)
  • Debt Covenant Management
ATS Optimization Keywords
Hard Skills
  • Cashflow Modeling
  • Forecast Actualization
  • Activity Performance Tracking
  • Wire Transfer Execution
  • Foreign Currency Trade
Soft Skills
  • Personal Integrity
  • Good Communication Skills
  • Self-Motivated
Certifications & Qualifications
  • Bachelor's Degree in Finance
Industry Keywords
  • Corporate Treasury
  • Liquidity Management
  • KYC
  • Treasury Documentation
  • Collections and Disbursement
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