Lead Financial Strategist
This is a senior-level role that involves managing the financial operations of an organization, including cash flow forecasting and reconciliation.
Mission & Responsibilities:
* Develop and implement effective cash flow management strategies to ensure smooth financial operations.
* Manage draw-downs and repayments of private equity funds, guarantee calls, and disbursement requests.
* Collaborate with finance teams to prepare and analyze cash flow forecasts.
* Reconcile cash positions with intermediaries to ensure accuracy and compliance.
Candidate Profile:
* Education: University degree in Finance, Economics, Business Administration or related fields.
* Experience: Minimum 3 years of relevant experience in finance, accounting, audit or similar environment.
* Languages: Excellent command of English (oral and written); knowledge of other EU languages is an asset.
Competencies:
* Ability to work under tight deadlines and adapt quickly in a fast-paced, client-focused environment.
* Strong organizational skills and ability to prioritize tasks effectively.
* Problem-solving mindset with creativity and lateral thinking.
* Excellent interpersonal skills for internal and external stakeholder interactions.