Experteer Overview In this role you will lead the EMEA cash management, shaping the regional liquidity strategy and long-term cash flow forecasts to support Corteva's global growth. You will partner with Tax, Controllership and Treasury Operations to ensure alignment across regions and provide visibility on sources and uses of funds. You will drive risk mitigation actions through cost-benefit analysis amid evolving economic and regulatory conditions. The position offers cross-functional impact within a global agriscience leader and opportunities to influence treasury practices and regional liquidity.Compensaciones / Beneficios
- Oversee regional liquidity strategy execution
- Develop mid- to long-term cash flow forecasts
- Provide visibility on sources and uses of funds
- Collaborate with Tax and Controllership to implement strategies
- Support global tasks such as cash calls and forecast reconciliation
- Lead cross-functional discussions to identify financial risks and mitigation actions
- Monitor external developments (economic trends, regulation, geopolitics)
- Assist Treasury Operations as neededResponsabilidades
- Bachelor in Finance, Accounting, Economics or related field
- Professional Certifications
- Strong experience in treasury, finance or risk management
- Liquidity management and cash flow forecasting
- Experience working across regions or global markets
- Partner with cross-functional finance teams
- Strategic thinking and decision making
- Advanced Excel and financial modelling
- Experience with ERP systems
- Fluent in EnglishRequisitos principales
- world-class benefits
- competitive salary
- opportunities for international rotations and relocation
- diverse, inclusive work environment
- dedicated resources for skill and career development
- professional networking opportunities