Job Abstract

Responsible for monthly cash forecasting, cash balance reporting, intercompany loan summary, interest income analysis and investment monitoring, along with various quarterly reports to support 10-Q/ K reporting. Maintains all supporting documentation for intercompany borrowings. Prepares quarterly guarantee summaries for governmental reporting and analyses for board reporting. Responsible for bank account relationship documentation including account openings, signatory changes, bank & government... more details
Search Terms: TreasuryAnalystSeniorMonitoringAccounting

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