Job Description

We are the shared services arm of OMRON, supporting our global operations through efficient and reliable service delivery. We are looking for a motivated professional to join our team and work closely with international stakeholders to help drive operational excellence and continuous improvement.

The primary responsibility of this role is to support regional cash management and treasury operations across the US, Canada, and Mexico, with regular reporting to HQ Japan. This role is hands‑on and highly visible, covering cash forecasting, banking operations, payments, intercompany settlements, and treasury reporting.

Key Responsibilities

Cash Management & Forecasting

  • Monitor and review daily and monthly cash balances and credit limits across multiple business units
  • Prepare and submit daily and monthly cash position reports to HQ Japan
  • Develop and maintain 2‑month cash and disbursement forecasts for Canada, Mexico (JPM & BB...

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