Remote Treasury Analyst - Global Cash & FX Strategy
METZ, 57
il y a 13 jours
A leading tech firm is seeking a Treasury Analyst to manage global liquidity and cash movements. In this remote role, you'll partner closely with Group Accounting and FP&A to monitor cash needs while ensuring compliance with Treasury Policy. Responsibilities include maintaining banking activities, executing treasury operations, and producing reporting for senior management. The ideal candidate will possess a CTP or CFA certification, excellent financial skills, and willingness to travel up to four times a year.
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Entreprise
Canonical
Plateforme de publication
WHATJOBS
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