Treasury & Cash Management Specialist Nowe
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Your responsibilities, Manage daily cash flow, liquidity, corporate payments, and bank accounts., Monitor FX exposure and support hedging and financial risk management., Maintain strong relationships with corporate banking partners., Support.. więcej...
2026-07-24 14:41:28Umowa o pracęRodzaj pracy: Stała
KUMHO TIRE POLAND sp. z o.oDzisiaj z pracuj.pl