What You’ll Do
- Lead EMEA cash management activities, including daily cash and liquidity management, banking operations, and short-term cash forecasting
- Develop and implement balance sheet management strategies for EMEA subsidiaries, supporting Uber’s growth and financial objectives
- Develop funding strategies for subsidiaries, ensuring seamless execution in collaboration with Legal, Tax, and Accounting to optimize cash reserves
- Ensure timely completion and adherence to all accounting, financial reporting, audit, and SOX requirements
- Collaborate closely with FinTech, FinOps, Accounting, Tax, Compliance & Reporting, Intercompany, StratFin, Payments, Legal, Corporate Development and other relevant cross-functional partners to address and meet funding needs
- Drive improvements in processes and implement emerging technologies to optimize banking infrastructure to support rapidly evolving business requirements
- Serve as trusted advisor to business stakeholders, offering expert guidance and solutions to enable growth and drive changes
- Support the delivery of various enterprise-wide projects
What You’ll Need
- Minimum of 4-7 years of cash and liquidity management experience at a top corporate or financial institution
- Bachelor's degree in Business, Finance or Accounting
- Exceptional communication, influencing and organizational skills, strong project management acumen, and ability to multitask seamlessly
- Advanced skills in data and financial analysis are highly beneficial
- CTP, CFA or MBA is a plus
- Public company experience in a large multi-national preferred
- Enthusiasm about Uber!
Preferred Experience
- Strong exposure to payment service ecosystem (collections & disbursement)
- Track record of driving process improvement
* Accommodations may be available based on religious and/or medical conditions, or as required by applicable law. To request an accommodation, please reach out to .