Anthesis Group is seeking a Treasury Analyst to collaborate with Group Finance, FP&A;, Tax and operational teams to enhance cash visibility, manage capital, and ensure treasury policy compliance across the business.
You will own 13-week cash flow forecasting, support liquidity planning, and maintain treasury systems and reporting while working across multiple currencies and entities. xghoner
Aumente sus posibilidades de conseguir una entrevista leyendo la siguiente descripción general de este puesto antes de presentar su candidatura.
Fluency in English and strong Excel/Power Query skills are essential.
📌 Treasury Analyst: Global Cash, FX (Madrid)
🏢 Anthesis Group
📍 Madrid
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