Group Treasury Specialist
pokaż opis
Your responsibilities, Manage daily liquidity and cash positioning., Consolidate, analyze and report cash flow forecasts prepared by local finance teams., Challenge forecast assumptions and provide visibility on liquidity trends and risks.,.. więcej...
2026-06-15 10:41:30Umowa o pracęRodzaj pracy: Stała
Swisspearl Polska Sp. Z o.o8 dni temu z pracuj.pl