Treasury Finance Partner: Cash Flow & Working Capital
O
Orica
📍 santiago, metropolitana de santiago, Chile
Job Description
Orica in Chile and Argentina is seeking a proactive Finance Business Partner Treasury Analyst to support cash management and working capital performance. Reporting to the Finance Business Partner Manager, you will bridge finance and operations across regional teams.
You will forecast cash flow, monitor liquidity, assist with funding, and deliver timely treasury reporting. Strong Excel and SAP skills, plus experience in multinational settings, are valued.
#J-18808-Ljbffr