Treasury Manager — FX Hedging, Risk & Automation
Descrizione dell'offerta
A global finance organization is seeking a Treasury Manager to join their Worldwide Treasury Team in Milan. The role involves managing the Group's FX hedging activities, ensuring compliance, and enhancing cash flow visibility. Candidates should have at least 5 years of relevant experience and solid knowledge of Treasury and derivatives. This position offers an opportunity to lead projects aimed at improving treasury processes and collaborates with various stakeholders across functions.
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