Nordex seeks a Treasury Manager in Madrid to lead liquidity planning and cash flow forecasting, ensuring robust liquidity and optimized working capital across the business.
You will collaborate with Finance and other departments to strengthen financial stability and develop treasury processes. A degree in Economics, Finance, or Business Administration and at least 6 years’ treasury experience are required, along with SAP knowledge and English level C1.
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📌 Senior Treasury Manager: Liquidity & Cash Forecast Lead (Madrid)
🏢 Nordex
📍 Madrid
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