Lead the Rest of Power Cash Accounting team at GE Vernova to optimize cash management and governance processes. Collaborate with finance leaders for enhanced cash visibility and operational efficiency.
Responsibilities
Lead the global cash governance framework, establishing and maintaining policies, standards, and controls related to cash management and cash accounting.
Review and approve Rest of Power related manual payments and act as gate keeper to guarantee business asset’s efficient usage.
Oversee transactional accounting teams responsible for cash postings, bank reconciliations, and related processes.
Take part in Account Reconciliation Quality Review process and/or Cash related Account Rec targeted review upon need.
Partner with business finance leaders, Treasury, and Accounting to improve cash forecasting accuracy and visibility.
Identify and drive process improvements, automation initiatives, and best practices across cash processes, including bank reconciliation, cash application, and cash reporting.
Requirements
Bachelor’s degree in Finance, Accounting, or related field or equivalent knowledge or experience.
Significant experience in cash management roles.
Proven experience in managing cash flows and banking relationships.
Experience in working with Managed Service Providers as Cash Accounting sponsor.
Fluent English knowledge is essential.
Benefits
Varied, competitive benefits to help support our workforce.
Programs support personal and family needs.
Opportunities to grow your career through continued on-the-job learning and development.
Coordinate month - end accounting activities and financial reporting for different Latin American markets. Ensure compliance with accounting standards and support decision - making processes.
Coordinate financial reporting and month - end activities across Latin America while adhering to accounting standards. Collaborate with various teams to ensure accurate financial information and compliance.
Consultant for Carbon Accounting in sustainability consultancy. Conducting analyses and advising clients on climate protection and energy efficiency in a startup environment.
Senior Consultant in Financial Advisory Services focusing on enhancing financial reporting for various clients. Assisting CFOs and financial directors with performance improvement and reporting analysis.
Manager leading Financial Accounting Advisory projects within CFO Advisory practice for diverse industries. Focused on improving financial reporting processes and providing expert guidance.
Director of Accounting leading lease and fleet management accounting and financial reporting processes. Supporting enterprise initiatives and ensuring accounting and reporting integrity in a hybrid environment.
Accounting Specialist ensuring accurate and timely processing of Accounts Payable transactions at Sonova. Supporting audits and maintaining financial accuracy across multiple reporting entities.
Director overseeing outsourced accounting services for clients at CBIZ, a provider of professional services. Focused on revenue expansion and business planning.
Fixed Asset Accountant leading inventory processes and asset tagging for Global IT outsourcing firm. Working in a hybrid setup with responsibilities in asset tracking and reconciliation.
Leading the accounting team for ARTUS in Germany, ensuring compliance and optimizing processes in financial reporting. Collaborating with internal stakeholders and external partners.