Treasury Manager: Global Cash & FX | Hybrid/Remote
A leading software and services firm is seeking a Treasury Manager to reputed company global cash management and liquidity operations. The ideal candidate should have over 8 years of experience in treasury functions reputed company a large multinational corporation. Responsibilities include developing cash reputed company forecasts, managing bank relationships, and ensuring compliance with regulations.
This role offers flexibility and a supportive work environment, along with comprehensive benefits including medical plans and generous time off.
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