Close-up of a financial graph on a laptop screen, depicting stock market analysis in Berlin.

Cash Forecast – Treasury – Data Analytics

Hand selected to design and implement cash forecast for private equity financed firm with 16 subsidiaries.  Implemented daily, weekly, 13-week automated cash forecast with bank reconciliation of +25 accounts over +6 banks.  Created automated program with Tableau data analytics software to increase efficiencies and presented to C-Suite.

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