The Cash Management Director will oversee 2 groups (CPG) and (TOSG) within Treasury Cash Operations. Treasury Cash Operations is comprised of Cash Positioning Group (CPG), Banking Relationship Group (BRG) as well as Treasury Operations Support group (TOSG). The Cash Positioning Group is responsible for providing accurate and timely cash management reporting to facilitate strategic global decision making. Treasury Operations Support Group is responsible for supporting the teams across Treasury Operations, Treasury IT, the Global Accounting Organization, and various users of Cash Management Systems.