Financial Services
Active

Gerren

Treasury Professional

About Me

As a Certified Treasury Professional, I lead the Treasury department, focusing on enhancing global cash forecasting accuracy and optimizing cash flow processes. My responsibilities include managing the 13-week cash forecasting process, overseeing Kyriba for robust reporting and data integrity, and delivering actionable weekly cash reports for key stakeholders.

Jurisdiction

United States

Experience

Seniority LevelDirector
Years of Experience6-10 years
Current StatusActive
Treasury ManagerFGS GLOBAL
2024 - Present

Skills

Core skills0
Languages1

Languages

English