Job details
- Manage liquidity, forecasting and banking relations.
- Optimize working capital, FX/hedging and controls.
- This position is for one of our international clients. Please apply by completing your CV. We will contact candidates whose profiles are of interest.
Your profile
- Treasury/cash mgmt experience; Excel/BI.
- Stakeholder skills; English fluency.
Your benefits
- Competitive package and health plan.
- Certification support and flexibility.
Treasury manager
Publicat 23.08.2025
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Expiră 07.10.2025
Descriere job
Criterii job
Tip job | Full-time |
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Orașe | Hybrid (Bucuresti) |