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This position plays a crucial role in managing the company's treasury operations, including cash flow forecasting, financial risk assessment, and banking relationships. The ideal candidate will bring expertise in treasury functions to support strategic financial planning and ensure compliance with internal policies and industry regulations.
Job Responsibility:
Monitor daily cash positions and oversee short-term liquidity to meet operational funding needs
Develop and maintain accurate cash flow forecasts across weekly, monthly, and quarterly timelines
Manage banking operations, including account reconciliations and coordination of payments and transfers
Support investment activities by tracking performance and assisting with debt management
Analyze financial risks, including interest rate fluctuations, foreign exchange exposure, and credit risks
Maintain detailed records of cash positions, investments, and derivative transactions
Ensure compliance with internal policies and external regulatory requirements through detailed reporting