Treasury & Cash Management Specialist
Europcar
Este cargo requer uma presença local. Consulte empregos idênticos a seguir.
Europcar Mobility Group is seeking a Treasury Officer to manage daily treasury reconciliations, bank transfers, and payment runs. You will maintain cash forecasts and optimize banking relationships across entities under the Cash-pooling framework. The role requires experience with treasury systems, strong analytical and communication skills, and fluency in English. Based in Portugal, you will work with our Shared Services Center to ensure liquidity and efficient cash management. #J-18808-Ljbffr
Vaga publicada 2 meses atrás
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