Manage the company’s cash flow and liquidity forecasting
Monitor short-term cash flow forecasts and analyze discrepancies to optimize cash management
Collaborate cross functionally to obtain accurate and timely cash flow reporting
Develop, maintain and enhance the direct cash flow model to support short-term forecasting
Conduct detailed cash flow analyses to monitor liquidity, identify risks, and recommend actions to optimize cash utilization
Collaborate closely with FP&A, Accounting and Treasury teams to ensure accurate and timely cash flow reporting
Analyze historical trends in key working capital components (e.g., accounts receivable, accounts payable and inventory) to assess and forecast their impact on cash flow
Drive continuous improvement by evaluating complex processes and identifying opportunities to streamline, simplify, and automate manual workflows
Utilize FX and commodity forecasts from Signet’s operating entities to prepare hedging analyses and develop recommendations
Execute spot and hedge transactions and prepare documentation such as quarterly mark-to-market valuation and hedge effectiveness analysis
Support the development of a robust and scalable FX and hedging program
Prepare daily cash position and ensure payments are initiated and completed on a timely basis
Requirements
Bachelor's degree in finance or accounting
3-5 years of experience in cash flow forecasting, accounting, or financial analysis, with advanced Excel and financial modeling skills
Must be familiar with standard financial concepts, practices, and procedures within the finance/accounting/treasury field.
Familiarity with ERP systems (e.g., SAP).
Knowledge of working capital management and liquidity optimization strategies.
Strong analytical, Excel and financial modeling skills.
Experience in FX and commodity hedging is a plus.
Excellent interpersonal skills; written and verbal communication skills.
Ability to be a collaborative team player who can successfully build strong working relationships.
Strong attention to detail and accuracy.
Flexibility and ability to effectively manage multiple priorities.
Tech Stack
ERP
Benefits
Comprehensive healthcare, dental, and vision insurance to keep you and your family covered that is active on day 1 of employment
Generous 401(k) matching after just one year to help secure your financial future
Ample paid time off, plus seven holidays to recharge and unwind
Exclusive discounts on premium merchandise just for you
Dynamic Learning & Development programs to support your growth