Treasury Analyst — Liquidity, Forecasting & Reporting
PARIS, 75
il y a 1 jour
Pluxee, a leader in employee benefits, seeks a Treasury Operations professional to support daily treasury activities, cash forecasting, and liquidity analysis. You will contribute to reporting accuracy, governance, and system performance while collaborating with cross-functional teams.
Ideal candidates hold a Finance-related degree with 2–4 years of treasury or cash management experience, and strong Excel/data analysis skills.
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Entreprise
Pluxee
Plateforme de publication
WHATJOBS
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