Treasury Analyst: FX, Cash Flow & Group Financing
Fedrigoni SpA
Fedrigoni SpA is seeking a Treasury Analyst to oversee Treasury operations, monitor liquidity, and manage bank reconciliations. The role requires a Master’s Degree in Economics/Banking and Finance with 3–5 years of experience, ideally with the Kyriba system.
Responsibilities include participating in financial closings, preparing cash flow forecasts, and assisting in treasury projects. Candidates must be fluent in English and Italian, demonstrate strong Excel skills, and exhibit a proactive attitude toward change.
#J-18808-LjbffrOfferta di lavoro pubblicata 5 ore fa
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