Job Summary
A company is looking for a Treasury Specialist to ensure efficient treasury management aligned with operational needs.
Key Responsibilities
- Control daily bank positions across various business units
- Execute and supervise weekly cash flow management
- Coordinate daily and weekly payments with local teams
Required Qualifications
- Degree in Business Administration, Economics, Finance, or a related field
- 4 to 6 years of experience in treasury departments, preferably in multinational or high-growth environments
- Solid accounting knowledge to understand the financial impact of treasury movements
- Advanced proficiency in Excel and Google Spreadsheets
- Advanced English (C1) for collaboration with international teams and financial entities
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