Forecasting Expert
Professional specializing in Treasury, with a strong focus on Cash and Banking. With 10 years of experience, currently as a Senior Treasury Analyst, managing cash flow, banking relationships, and financial operations across the Asia region.
I'm a detail-oriented and adept at ensuring liquidity, optimizing cash management strategies, and maintaining strong controls over financial processes.
My role also reflects a focus on financial efficiency, global coordination, and a strategic approach to treasury operations.