Jobtailor in Milano is seeking a Treasury Analyst to support daily treasury operations, cash positioning, liquidity monitoring, and cash flow forecasting.
Tutti i potenziali candidati sono invitati a leggere con attenzione i seguenti dettagli prima di inviare la propria candidatura.
You will prepare forecasts, assist funding activities, manage banking relationships, and contribute to process improvements within a fast-paced finance team. xysqume
Fluency in Italian and English, advanced Excel skills, and experience with SAP are highly valued in this role.
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📌 Strategic Treasury & Cash Flow Analyst (Milano)
🏢 Altro
📍 Milano