The Treasury Manager at C&A plays a crucial role in cash and financial risk management, driving cash, liquidity, and foreign exchange initiatives. Responsibilities include cash flow management, liquidity forecasting, FX trading, and hedge execution, as well as treasury analysis and reporting. The ideal candidate will have experience in cash management, knowledge of financial risk management, and a strong understanding of capital markets and corporate finance. A minimum of five years of relevant work experience in an international setting and a finance degree are preferred. Fluency in written and verbal English is also required. Join C&A Treasury for a strategic role in a growing organization. ‒ +
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