Treasury Leader: Cash Flow & Risk Strategy (Madrid)

Treasury Leader: Cash Flow & Risk Strategy (Madrid)

17 sep
|
Georgeci
|
Madrid

17 sep

Georgeci

Madrid

Georgeci, based in Barcelona, is seeking a Head of Treasury to lead liquidity management, risk mitigation, and regulatory compliance. You will direct a treasury team, optimise cash flow, oversee payments and reporting, and support strategic funding decisions. Idóneo candidates have 3–4 years in leadership within treasury or finance, fluent English, and a degree in Finance or Economics. This role offers a competitive salary and flexible working arrangements.

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📌 Treasury Leader: Cash Flow & Risk Strategy (Madrid)
🏢 Georgeci
📍 Madrid

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