everywhere. Job Details Why this job is important In this key position, you will be directly accountable to the Senior Manager – Group Cash Forecasting, playing... Treasury cash forecasting activities at the centre in London, supporting regional treasury activities and ad-hoc treasury...
Kantarwhile sustaining a positive operating cash flow, even in the face of our growing revenues. Financial Reporting: Provide comprehensive... opportunities to improve working capital through the cash forecasting process. The skills & experience needed as European Net...
Kantar