Kyivstar is seeking a Senior Treasury Operations Advisor to join its Treasury Operations team. You will forecast cash flows, analyze working capital, and manage credit agreements while leading cross-functional projects on FX risk hedging and process optimization.
Ideal candidates have 7+ years in financial analysis or treasury roles, strong Excel skills, experience with ERP systems, and fluent English. A hybrid work setup is offered.
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📌 Treasury Cash Flow Forecasting Lead (Italia)
🏢 Altro
📍 Italia