Key Accomplishment: Identifying and executing enhancements to the cash flow forecasting process to deliver improved accuracy and timeliness as necessitated by the impact of COVID-19 on the company’s financial position.
Education and Credentials: CTP and Top 25 MBA with 18 years of finance, strategy, and treasury experience with Fortune 500 companies.
Summary of Experience: Leads a team responsible for the planning, forecasting. and management of the company’s cash flow and liquidity position.