A financial institution in Valencia seeks a Treasurer to manage the bank's liquidity and treasury operations. Key responsibilities include overseeing banking relationships, executing treasury operations, and preparing financial forecasts. The idóneo candidate should have over 3 years of experience in treasury or cash management, strong analytical skills, and fluency in English, with knowledge of Russian as a plus. This role offers an excellent opportunity for those looking to enhance their career in a dynamic financial environment.
📌 Treasury & Cash Flow Lead (Madrid)
🏢 Luminary
📍 Madrid
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