Job Description

Forecast Preparation

  • Prepares weekly cash forecast reports for the assigned geography.
  • Prepares monthly cash forecast reports for the assigned geography. Communicates with geo counterparts, stakeholders and concerned parties in order to acquire the necessary information for the forecasts.
  • Helps improve existing forecast methodologies and document the updates.

Variance Analysis and Reporting

  • Gathers data for actual cash inflows and outflows for the assigned geography.
  • Prepares weekly variance analysis reports for the assigned geography.
  • Prepares monthly variance analysis reports for the assigned geography.
  • Analyzes and explains significant variances.
  • Provides additional reports and analysis as required.
  • Reports to Corporate Treasury via conference call on a monthly basis.

Cash Management Support

  • Provides daily updates to Corporate Treasury on worldwi...

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