Financial Projections & Cash Management Consultant (E-commerce Background Preferred, 100% Remote)
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We are seeking an experienced Financial Projections & Cash Management Consultant to manage cash flow planning and payment processes. This role is open for part-time, full-time, or project-based candidates, with a strong preference for those with an e-commerce background.
Key Responsibilities:
Accounts Payable/Receivable Management: Oversee all incoming and outgoing payments to maintain smooth cash flow.
Financial Projections: Support cash flow forecasting to align with business needs in an e-commerce context.
Liquidity & Cash Flow Oversight: Implement robust processes to monitor liquidity, ensuring financial stability.
Qualifications:
Proven track record in financial management, ideally with experience in e-commerce.
Expertise in cash flow forecasting and accounts payable/receivable management.