Treasury Manager: FX Hedging & Cash Flow
Descrizione dell'offerta
A luxury fashion company based in Milan is seeking a Treasury Manager to lead FX hedging activities and ensure regulatory compliance. The role involves managing cash flow and enhancing financial risk control within the treasury function. The ideal candidate will have over 5 years of experience in treasury management roles, strong expertise in hedge accounting principles, and proficiency in SAP TRM applications. This position offers a collaborative environment with opportunities for process improvement and financial governance.
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