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Cash Management & Forecasting Specialist

Edge Group · Portuguesa

📅 14/08/2026
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Edge Group is seeking a Specialist Cash to bolster the Project Finance Office with cash visibility, liquidity forecasting, and working capital insights across EDGE entities. You will contribute to system-driven cash reporting and forecasting, enhancing forecast accuracy and portfolio performance.The role requires a solid background in treasury, cash management, and FP&A, with experience in SAP/Power BI analytics and strong stakeholder collaboration across teams. #J-*-Ljbffr

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