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MGEN Thermal Energy Inc. is seeking a seasoned Cash Operations Lead to oversee liquidity planning, cash management, and treasury operations across entities and geographies. You will drive visibility into cash, funding strategies, and governance to support the business.
You will partner with Treasury, Finance, FP&A, and business units to improve working capital efficiency, strengthen controls, and automate cash processes. Strong leadership and data-driven decision-making are essential.
The Cash Operations Lead (Liquidity & Cash Operations) is responsible for leading the organization’s cash management, liquidity planning, and treasury operations across entities and geographies. This role ensures optimal cash visibility, efficient funding strategies, regulatory compliance, and risk mitigation through strong governance, automation, and data-driven decision-making.
The role partners closely with Treasury, Finance, FP&A, and business units to enhance liquidity, improve working capital efficiency, and strengthen controls. Success in this role requires strong leadership, cross-functional collaboration, and the ability to drive continuous improvement in cash operations and processes.
Lead 12-week rolling cash forecasts, including variance analysis and reconciliation with FP&A forecasts
Integrate forecasting inputs from collections, procurement, and business units
Develop scenario analysis and contingency plans to support liquidity decision-making
Automate and standardize forecasting processes to improve accuracy and efficiency
Deliver outputs such as cash flow projections, scenario overlays, and covenant runway analysis
Manage cash pooling structures (physical and notional) across multiple entities and regions
Design compliant cash repatriation strategies in regulated or restricted markets
Maintain visibility of liquidity by country and currency
Ensure alignment with internal policies and regulatory requirements
Deliver outputs such as cash extraction frameworks and regulatory trackers.
Consolidate global cash positions across banks, currencies, and legal entities
Identify trapped or restricted cash and optimize liquidity usage
Execute cash mobility strategies, including foreign exchange coordination
Perform liquidity stress testing and provide actionable insights
Deliver outputs such as cash mobility playbooks and liquidity analysis reports
Strengthen payment governance, segregation of duties, and approval processes
Oversee secure bank connectivity and payment systems (e.g., SWIFT, ISO20022)
Implement fraud detection, monitoring, and prevention mechanisms
Manage disaster recovery (DR) and business continuity planning (BCP) related to cash operations
Deliver outputs such as fraud monitoring reports, validation controls, and test documentation
Optimize surplus cash allocation in line with treasury investment policy
Manage working capital facilities, revolvers, and letters of credit
Evaluate counterparty exposures and funding costs
Monitor returns against benchmarks and identify optimization opportunities
Deliver outputs such as investment optimization models and exposure reports
Improve cash conversion cycle (CCC) through coordination with business units
Drive initiatives on receivables, payables, and process improvements
Track financial benefits and monitor performance against baseline metrics
Lead pilots and scale successful working capital programs
Deliver outputs such as performance dashboards and policy updates
Build and develop a high-performing treasury operations team
Drive succession planning and talent development initiatives
Promote a culture of collaboration, accountability, and continuous improvement
Lead change management efforts and ensure smooth adoption of new processes and systems
Ensure strong documentation, compliance, and governance practices
Use data analytics to drive insights and decision-making
Continuously improve processes through automation and efficiency initiatives
Lead cross-functional collaboration to align treasury objectives with business strategies
Bachelor’s degree in Finance, Accounting, Economics, Business, Engineering, or related field
Professional certifications such as CPA, CFA, FRM, or CTP are preferred
Additional training in financial modeling, data analytics, or process improvement (Lean/Six Sigma) is an advantage
10–15 years of relevant experience in treasury, cash management, or liquidity operations
Minimum of 10 years of progressive experience in finance or treasury roles
Proven leadership experience managing high-performing teams
Strong exposure to global cash management, banking structures, and liquidity optimization