Treasury Finance Partner: Cash Flow & Working Capital
Orica Limited • santiago, metropolitana de santiago • Posted July 21, 2026
Position Overview
Orica is seeking a proactive Finance Business Partner Treasury Analyst to support cash management and working capital for Chile and Argentina. You will partner with regional teams, Global Treasury and Shared Services to ensure accurate cash flow forecasting, disciplined working capital management and effective treasury execution.
The role involves collaboration across Finance, Customer Service and Commercial teams, with attention to process improvements, reporting and compliance.
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