Execute daily treasury operations, manage cash flow, monitor banking transactions, and support financial forecasting and reporting to enhance efficiency and ensure compliance with financial regulations.
📌 Global Treasury Specialist - Liquidity & Automation (Madrid)
🏢 AESC Spain
📍 Madrid
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Muestra tus habilidades a la empresa, rellenar el formulario y deja un toque personal en la carta, ayudará el reclutador en la elección del candidato.