Opdenergy seeks a Treasury Specialist to join the Madrid team, driving daily cash position, liquidity optimization and cross-border payments. You will manage SAP and SAGE XRT-based treasury operations in a multinational setting, collaborating with accounting, FP&A; and tax teams.
The idóneo candidate has 5+ years in corporate treasury, strong Excel skills and English at C1. The role offers a hybrid model with remote days and permanent contract within a global renewable energy group.
📌 Global Treasury Specialist | Cash Management (España)
🏢 Opdenergy
📍 España
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