EU remote
Working Capital Manager
About this role
We are seeking a results-driven and analytical Group Working Capital Manager to lead the end-to-end optimization of working capital across UTAC Group. Reporting directly to the Group CFO, this strategic role owns the Cash Conversion Cycle (CCC), optimizing liquidity, and managing cash performance across all business lines, subsidiaries, and geographical locations. The ideal candidate will combine deep expertise in cash management, accounts receivable/payable processes, and operational finance to unlock trapped cash, strengthen free cash flow (FCF), and build robust forecasting models.
Key Responsibilities 1. Working Capital Strategy & Optimization Design, implement, and oversee the group-wide Working Capital Strategy to align with UTAC’s overall financial and growth objectives. Drive continuous improvement initiatives across the Cash Conversion Cycle (CCC) , focusing on reducing Days Sales Outstanding (DSO), Overdues (OD), optimizing Days Inventory Held (DIH), and strategically managing Days Payables Outstanding (DPO).
Set periodic working capital targets and KPIs for regional finance and business units, monitoring performance against targets regularly. 2. Cash Management & Liquidity Planning Oversee global cash positioning, liquidity forecasting, and cash flow operations, ensuring sufficient liquidity to meet operational needs and strategic investments. Design & implement cash pooling structures, minimize bank fees, and maximize yield on short-term cash surpluses.
Direct the preparation of rolling short-term (weekly/monthly) and long-term cash flow forecasts, tracking variance analysis to continuously improve forecasting accuracy. 3. Operational Process Ownership (AR, AP, and Inventory) Accounts Receivable (AR): Partner with commercial and billing teams to streamline order-to-cash (O2C) workflows, enforce credit risk policies, manage collections proactively, and reduce overdue accounts.
Maximization of Factoring implementation. Accounts Payable (AP): Collaborate with procurement to optimize procure-to-pay (P2P) cycles, capturing early payment discounts where beneficial while strategically leveraging payment terms. Explore & possibly implement reverse factoring solutions Inventory Management: Work closely with supply chain, operations, and procurement teams to evaluate inventory levels, identify slow-moving or obsolete stock, and enforce optimum stock rotation policies.