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Senior Treasury ANALYST – country management
You will be working in a fast pace, highly sophisticated and technology-driven treasury environment.
In the role, you will be responsible for cash and liquidity management, trade finance and treasury support for a portfolio of EMEA countries. There will be particular focus on M&A activity as well as end to end integration of acquired businesses. The role will report into Senior Treasury Manager. You will work closely with key stakeholders in Tax, Legal, Controllership and Business Finance to ensure shareholder cash is appropriately managed and aligned with the goals of the organization.
This is a hands-on role with lots of potential to grow and develop your treasury skills. The successful candidate will have the potential to gain exposure to a wide variety of treasury activities and progress their treasury career. Utilising your treasury knowledge you will work closely with senior management to ensure we are developing a best-in-class Treasury Management system and function.
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