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. Fluency in English and strong Excel/Power Query skills are essential.
📌 Treasury Analyst: Global Cash, FX & Growth Impact (Madrid)
🏢 Anthesis Group
📍 Madrid
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