
Artificial Intelligence ⢠B2B ⢠SaaS
Experian is a global leader in digital experience, technology, and transformation. They partner with recognized brands to enhance customer understanding, innovate product strategies, and implement agile technology solutions. With a focus on delivering superior customer experiences through AI, cloud architecture, and project management, Experian helps businesses streamline their operations and achieve their objectives effectively.
10001 employees
Founded 1996
đ¤ Artificial Intelligence
đ¤ B2B
âď¸ SaaS
November 21

Artificial Intelligence ⢠B2B ⢠SaaS
Experian is a global leader in digital experience, technology, and transformation. They partner with recognized brands to enhance customer understanding, innovate product strategies, and implement agile technology solutions. With a focus on delivering superior customer experiences through AI, cloud architecture, and project management, Experian helps businesses streamline their operations and achieve their objectives effectively.
10001 employees
Founded 1996
đ¤ Artificial Intelligence
đ¤ B2B
âď¸ SaaS
⢠Oversee the completeness and accuracy of monthly operating cash flow ⢠Play an important role in month-end, quarter-end, and year-end closing activities ⢠Handle cash flow activities, banking reporting, treasury forecasts, and month-end tasks ⢠Improve within our Cash operation ⢠Prepare journal entries, gather information, produce documentation, and resolve inquiries ⢠Propose system solutions within Treasury and Cash Areas ⢠Create routine cash forecasting processes considering working capital accounts, accounting methods, and capital projections ⢠Communicate with multiple departments to monitor factors influencing cash requirements ⢠Present monthly operating cash flows, providing high-value analysis and variance identification ⢠Ensure strategies align with business growth, maintain process documentation, and prepare audit schedules
⢠Bachelor's degree in accounting, finance, or related areas ⢠Minimum of 8+ years in a multifaceted international finance environment ⢠Cash Management, Cash Forecasting, Treasury, or FP&A experience ⢠Advanced English level - (C1 Level desired) ⢠Experience performing daily cash flow forecasting, including analyzing short-term liquidity needs, monitoring inflows/outflows, and reconciling forecasts against actuals in a multinational environment ⢠Advanced Microsoft Office tools (Excel (can perform complex functions), PowerPoint, Power Query, Power BI), Oracle, and Hyperion ⢠Experience in Treasury, Cash Management, Accounts Payable, Accounts Receivable, General Ledger, and Controlling ⢠Understanding of operating cash flows ⢠Experience in Lean Six Sigma projects ⢠Previous experience with Tableau, Power BI, Qlik, or other related tools ⢠Proficiency in HFM (Hyperion Financial Management)
⢠Medical, life and dental insurance ⢠Asociacion Solidarista ⢠International Share Save Plan ⢠Flex Work/Work from home ⢠Paid time off ⢠Annual Performance Bonus ⢠Education Reimbursement ⢠Family Bonding ⢠Bereavement Leave ⢠Referral Program
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