IFF is seeking a Treasury Global Cash Planner to oversee all treasury activities, ensuring effective cash management, liquidity, and risk mitigation. The role focuses on integral liquidity, cash flow forecasting, and short-term funding across entities. You will identify short-term cash needs, communicate forecasts to stakeholders, and lead treasury transformation initiatives in a fast-paced international environment.
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📌 Global Cash & Liquidity Strategist (Madrid)
🏢 Iff
📍 Madrid
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