Treasury & FX Hedging Lead — Global Risk & Automation
Descrizione dell'offerta
A global fashion company based in Milan is seeking a Treasury Manager to oversee FX hedging activities and ensure regulatory compliance. The ideal candidate has over 5 years of experience in treasury management, a strong understanding of hedge accounting principles, and SAP TRM application expertise. This role involves managing cash flow, performing monthly financial reporting, and contributing to process improvements within the finance department. The company promotes diversity and inclusivity in the workplace.
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