As an RTR Cash Management Analyst within our GBS Finance department, you will play a critical role in managing the companys treasury operations and cash management processes. You will serve as the primary liaison between the Treasury department and various Business Units, overseeing cash‑related projects and ensuring accurate financial reporting. In your daily job you will be responsible for:
This position offers an excellent opportunity for a finance professional with strong analytical skills to develop expertise in treasury operations while making a meaningful impact on our organizations financial management practices. You will gain valuable experience in cash management, financial analysis, and process optimization while working in a dynamic corporate environment.
Key Ingredients for succeeding in this role are your:
Apply today, and together let’s change tomorrow!
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Aptiv is an equal employment opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, national origin, sex, gender identity, sexual orientation, disability status, protected veteran status or any other characteristic protected by law.