growth. Pozíció leírása / Job description Direct and optimize daily treasury operations, ensuring seamless cash... and mitigating liquidity, counterparty, and foreign exchange (FX) risks. Design and embed robust treasury policies, governance...
in the central and specialist departments of the group Coordination of external service providers during the introduction... and SAP PS Knowledge of Treasury submodule Experience gained in an international work environment and willingness to travel...
to drive performance through data and modeling. Senior Treasury Specialist: Focus on global liquidity management, FX risk..., and scaling treasury maturity. GL Accountant: Responsible for general ledger accounting and financial reconciliations...