IFF N&B; Iberica, S.L. is seeking a Treasury Integral Cash Planner to oversee worldwide cash management, liquidity forecasting, and risk mitigation. You will lead planning across legal entities, optimize surplus cash use, and support strategic treasury initiatives in a fast-moving, international setting. The role requires a Finance/Accounting background and 6+ years in treasury, with expertise in cash positioning, forecasting, and ERP systems such as Quantum and SAP.
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📌 Global Cash Planning Lead – Liquidity & Forecasting (Madrid)
🏢 IFF N&B IBERICA
📍 Madrid
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