IFF is seeking a Treasury General Cash Planner to oversee cash management, liquidity forecasting, and risk mitigation across the organization. You will lead global planning, model cash targets by entity, and drive initiatives to optimize the use of surplus cash while supporting funding needs.
The role requires strong analytical skills, experience with treasury systems (Quantum, SAP), and advanced Excel capabilities.
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📌 Global Cash & Liquidity Strategy Lead (Oviedo)
🏢 Iff
📍 Oviedo
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