GM Financial
AVP Corporate Treasury - Cash Management
Fort Worth, TX, United States
Sponsorship not specifiedDetected 16 days ago
Forecasting
About the role
- This will also include forecasting and reporting on GM Financial's cash needs.
- This team member ensures the integrity of GM Financial's bank accounts and cash flows.
- This team member also participates in the strategic and operational decision making process.
Requirements
- The AVP Corporate Treasury is responsible for overseeing the day to day activities required to meet the financial obligations of the organization within the Corporate Treasury department.
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This listing is sourced directly from GM Financial's careers page and normalized into a canonical job model.