Opdenergy in Madrid is seeking a Treasury Specialist to join our international team. You will manage daily cash position, optimize liquidity across jurisdictions, and oversee payments and treasury reporting.
The role requires 5+ years in corporate treasury, strong SAP and Treasury Management System experience, advanced Excel, and fluent English. Hybrid work with permanent contract and growth opportunities are offered.
J-18808-Ljbffr
📌 Treasury & Cash Management Specialist - Hybrid Madrid
🏢 Opdenergy
📍 Madrid
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