Cash Planning Manager

Globe Group

Philippines

On-site

PHP 1,500,000 - 2,300,000

Full time

11 days ago

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Job summary

Globe is seeking a Cash Planning Manager to lead cash forecasting and planning across Globe and subsidiaries, ensuring accurate forecasts, optimized liquidity and ADB, and strong governance over cash management.

You will oversee bank accounts and eWallets, negotiate contracts, build relationships with internal stakeholders and partners, and drive digitalization and data-driven improvements in cash reporting and controls; lead the cash planning team.

Responsibilities

  • Lead cash forecasting and cash flow forecasting models to support management decisions.
  • Manage liquidity and Average Daily Balance (ADB) optimization and treasury back office processes.
  • Rationalize bank accounts and eWallet structures; ensure regular reconciliations and fraud prevention.
  • Review and negotiate cash management contracts with banks and financial partners.
  • Establish and maintain relationships with internal stakeholders and external financial partners.
  • Implement treasury policies and controls; identify and address process gaps.
  • Drive digital finance transformation using data analytics for reporting and decision making.
  • Lead and develop the cash planning team to deliver forecasts and reports to senior management.

Job description

At Globe, our goal is to create a wonderful world for our people, business, and nation. By uniting people of passion who believe they can make a difference, we are confident that we can achieve this goal.

Job Description

The Cash Planning Manager is responsible for leading the cash forecasting and cash planning function to ensure effective liquidity management across Globe and its subsidiaries. The role ensures accurate and timely cash flow forecasts, optimizes liquidity and Average Daily Balance (ADB) to maximize returns of the cash float and maintains appropriate liquidity buffers. It also oversees bank account and eWallet management and rationalization, negotiates cash management contracts, builds strong relationships with internal stakeholders and financial partners, and drives digitalization and data driven improvements in cash planning and reporting. The role ensures strong governance and internal controls over cash management processes and reporting.

  • Cash Forecasting & Cash Flow Optimization - Provide accurate cash forecasts and develop robust cash flow forecasting models to support management decision-making. Continuously improve data sources, assumptions, and forecasting methodologies to maximize returns on cash float while ensuring sufficient liquidity and financial stability. Monitor forecast accuracy and perform regular variance analysis to identify key drivers, improve forecasting assumptions, and strengthen management visibility over short- and medium-term liquidity requirements.
  • Cash Management & ADB Optimization – Manage and continuously improve the liquidity and cash management system to meet the business’s funding requirements while determining and maintaining appropriate liquidity buffers and optimizing Average Daily Balances (ADB). Drive efficient Treasury Back Office processes and ensure the complete, accurate, and timely recording of all cash transfer transactions.
  • Bank Account & eWallet Management - Manage and periodically rationalize bank accounts and eWallets to optimize the account structure, reduce the number of accounts and associated costs, and strengthen governance. Ensure proper account opening and closure, regular reconciliation, and compliance with standard operating procedures and internal controls ensuring fraud prevention.
  • Financial and Internal Partner Relations & Contracts - Establish and maintain strong relationships with banks, financial partners and key internal stakeholders to support the company’s cash management requirements. Review and negotiate cash management contracts to secure favorable terms and pricing while sustaining strong partner relationships.
  • Treasury Policy, Risk & Controls – Implement and ensure adherence to treasury policies and manage financial risks. Regularly evaluate and assess cash management processes to identify and address control gaps, applying critical and analytical thinking to resolve issues and ensure appropriate internal controls are in place.
  • Digital Finance Transformation - Leverage digital tools and data analytics to streamline cash management processes, enhance reporting, and improve financial decision-making.
  • People Management - Lead, coach, and develop the cash planning team, ensuring timely and accurate delivery of forecasts and reports to senior management.

Equal Opportunity Employer
Globe’s hiring process promotes equal opportunity to applicants, Any form of discrimination is not tolerated throughout the entire employee lifecycle, including the hiring process such as in posting vacancies, selecting, and interviewing applicants.

Globe’s Diversity, Equity and Inclusion Policy Commitment can be accessed here

Make Your Passion Part of Your Profession. Attracting the best and brightest Talents is pivotal to our success. If you are ready to share our purpose of Creating a Globe of Good, explore opportunities with us.

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