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Key Responsibilities:
- Manage global cash management activities and liquidity planning.
- Develop short-term and long-term cash flow forecasts.
- Monitor and mitigate financial risks including FX and liquidity.
Requirements:
- Proven experience in Treasury or Corporate Finance.
- Strong knowledge of cash flow management and multi-currency environments.
- Advanced Excel skills and experience with ERP systems.
Benefits:
- Fully remote work model with home office allowance.
- Stock options program and health plan coverage.
- Access to language and professional development courses.
Jobgether
This position is listed on behalf of a partner company, a fast-growing, global technology-driven organization. The company offers a flexible and competitive benefits package designed to support professional growth, well-being, and remote work.