What are the responsibilities and job description for the FP&A Manager: Working Capital Specialist position at BBUK - rsgplc - Vanessalls.22898.13347@rsg?
Job Summary
The Cash Flow Strategist will be responsible for establishing a framework for monitoring and reporting key risks and opportunities impacting liquidity. This includes collaborating with Finance, Treasury, Operations, and Business Units to optimise cash flow performance and delivering accurate, timely cash flow reports and analysis to senior leadership and stakeholders.
You will also oversee NoRec (special items) ensuring appropriate financial processes and controls.