Description
Job Summary:
This role manages banking activities, cash flows, insurance, investments, and financial negotiations—including loan agreements and foreign exchange rates—ensuring regulatory compliance and supporting audits and finance functions.
Key Responsibilities:
1. Comprehensive management of bank accounts and cash flows.
2. Negotiation of loan agreements and foreign exchange rates.
3. Coordination of banking platforms and regulatory compliance.
* Daily review and monitoring of bank accounts.
* Uploading payments via the bank portal and reviewing bank requests.
* Preparation and analysis of cash flow statements.
* Collaborating with the sales team to negotiate bank guarantees for specific customer projects.
* Implementing and executing Vertiv’s insurance program from the region.
* Daily investment of excess cash funds.
* Daily tracking of cash disbursements and reporting.
* Negotiating and executing loan agreements with Vertiv as needed.
* Negotiating foreign exchange rates in respective countries.
* Managing and coordinating banking platforms.
* Ensuring compliance with Vertiv’s regulatory requirements.
* Providing financial working papers for statutory audits.
Reviewing accounting records related to daily business operations in coordination with the finance team.
* Supporting finance functions such as AP and AR.
* Account reconciliation.