

The Leading Treasury specialist will be responsible for overseeing and optimizing the company's Cash Flow management processes, ensuring accurate cash liquidity planning, and maintaining strong relationships with our banking partners. This role requires a blend of technical expertise, analytical skills, and strong communication abilities. The leading specialist will report to Director of Treasury of the group.
Responsibilities:
Qualifications and Skills:
Soft Skills:
Dynamic and proactive approach.
Strong communication and interpersonal skills.
Attentive to detail and accuracy.
Project management skills.
Open to gain new skills.
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