Posted:
5/18/2026, 11:27:18 PM
Location(s):
Lesser Poland Voivodeship, Poland
Experience Level(s):
Senior
Field(s):
Finance & Banking
Workplace Type:
Remote
As a RTR Senior Cash Management Analyst within our GBS Finance department, you will play a critical role in managing the company's treasury operations and cash management processes. You will serve as the primary liaison between the Treasury department and various Business Units, overseeing cash-related projects and ensuring accurate financial reporting. In your daily job you will be responsible for:
Your key responsibilities will include:
Oversee daily cash management operations, including bank statement postings, cash positioning, and cash pooling structures
Manage and control cash in transit accounts and perform cash reconciliations across multiple entities and currencies
Ensure accurate and timely cash forecasting support and provide insights on liquidity positions
Execute and monitor treasury activities, including factoring, cashpooling, and bank-related transactions
Perform advanced balance sheet reconciliations, ensuring compliance with accounting standards and internal controls
Analyze financial transactions and identify deviations, risks, and optimization opportunities
Collaborate closely with Group Treasury and Business Units
Support month-end and year-end closing activities, ensuring adherence to deadlines and audit requirements
Identify, initiate, and lead process improvements and automation initiatives within cash management and RTR areas
Act as a subject matter expert in cash and treasury processes, supporting audits and advising stakeholders
Mentor junior team members and contribute to knowledge sharing within the team
This position offers an excellent opportunity for a finance professional with strong analytical skills to develop expertise in treasury operations while making a meaningful impact on our organization's financial management practices. You will gain valuable experience in cash management, financial analysis, and process optimization while working in a dynamic corporate environment.
Your Background:
2–5+ years of relevant experience in finance, accounting, or treasury (RTR / cash management preferred)
University degree in Finance, Accounting, Economics, or related field
Practical experience in treasury operations, cash management, or banking processes
Strong understanding of general ledger and balance sheet reconciliation
Experience with SAP or Oracle ERP systems
Strong Excel skills
Strong analytical mindset with attention to detail
Ability to work independently and manage priorities in a dynamic environment
Excellent communication skills and ability to collaborate cross-functionally
Fluency in English
Why join us?
You can grow at Aptiv. Aptiv provides an inclusive work environment where all individuals can grow and develop, regardless of gender, ethnicity or beliefs.
You can have an impact. Safety is a core Aptiv value; we want a safer world for us and our children, one with: Zero fatalities, Zero injuries, Zero accidents.
You have support. We ensure you have the resources and support you need to take care of your family and your physical and mental health with a competitive health insurance package.
Your Benefits at Aptiv:
Private health care (Signal Iduna) and Life insurance for you and your beloved ones
Well-Being Program that includes regular webinars, workshops, and networking events
Hybrid work (min. 47 days/yr of remote work, flexible working hours)
Employee Pension Plan paid by the employer (you get + 3,5% on each gross salary.
Access to sports groups and Multisport card
Apply today, and together let’s change tomorrow!
#LI-PP1
Privacy Notice - Active Candidates: https://www.aptiv.com/privacy-notice-active-candidates
Aptiv is an equal employment opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, national origin, sex, gender identity, sexual orientation, disability status, protected veteran status or any other characteristic protected by law.
Website: https://www.aptiv.com/
Headquarter Location: Dublin, Ireland
Employee Count: 10001+
Year Founded: 1994
IPO Status: Public
Last Funding Type: Post-IPO Debt
Industries: Automotive ⋅ Autonomous Vehicles ⋅ Electric Vehicle ⋅ Ride Sharing ⋅ Software