Swissport International AG in Madrid is seeking a Treasury Manager to lead group cash management activities, coordinating with Zurich teams and regional finance to ensure accurate cash flow forecasts and timely spend tracking.
You will manage payments, banking relationships, reconciliations, and treasury system enhancements, supporting bank guarantees, intercompany loans, and treasury reporting with a focus on data analysis and cross-functional collaboration.
📌 Treasury & Cash Analytics Lead (Hybrid Madrid)
🏢 Swissport International
📍 Madrid
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