She/he will be responsible for all daily Treasury activities of the entities in LATAM. This includes assisting with cash management, cash forecasting, bank relations, hedging of such CHC entities.
Responsibilities
Cash and liquidity management activities for all Chloe legal entities: Management of bank accounts (opening/closing, overdrafts) and banking powers
Interco Current Account/Cash pooling activities (cash management agreement)
Management of foreign currency exposure in line with Corporate Treasury guidelines: Internal Fx hedging, revaluations end of month, Fx exposure forecast accuracy, currency of invoicing for new flows, control of Fx Gains & Losses
Timely and accurate cash flow reporting including cash forecast (yearly budget /monthly 3M ...