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Senior Manager Cash & Liquidity Management

BeijingRemoteFull-time

AI Summary

Manages cash and liquidity for APAC entities, ensuring optimal liquidity, balance sheet efficiency, and secure centralization of cash resources while collaborating with treasury and finance teams.

About this role

The Senior Manager – Cash & Liquidity Management is primarily responsible for all activities related to cash management for all entities in his/her perimeter (APAC).

In this critical role, he/she ensures optimal liquidity, protects the company’s cash resources, and drives balance sheet efficiency while shaping Alcon’s long‑term cash management strategy in the area

He / she represents the Cash & Liquidity Management treasury function in his/her perimeter and is the primary point of contact on Treasury related matters

In addition, he/she will work on implementing cash management structures (where possible), improving cash forecasting capabilities and ensuring the centralization and security of cash and liquidity in the region.

He/she collaborates closely with the Senior Director, Cash & Liquidity Management (to whom he/she reports), other Group Treasury team members, team members from other Group Finance functions (of which Tax, FA, External Reporting and AGS teams) and local finance organizations.

ATTENTION: Current Alcon Employee/Contingent Worker

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Skills

Balance Sheet OptimizationCash ForecastingCash ManagementCash Structures ImplementationCentralization Of CashLiquidity ManagementTreasury Operations

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