Treasury Manager, Italy

Added
8 days ago
Type
Full time
Salary
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Related skills

sap cash management funding liquidity cash forecasting

📋 Description

  • Lead liquidity, funding, and banking activities for the Group
  • Act as deputy to Head of Treasury; ensure continuity
  • Oversee daily treasury operations; cash management, payments, collections
  • Manage cash flow forecasting; support liquidity planning
  • Oversee funding arrangements; credit facilities; cash pooling
  • Maintain banking relationships; negotiate treasury services

🎯 Requirements

  • Master’s degree in finance, economics, or related quantitative field
  • 8+ years in corporate treasury, corporate finance, or related functions
  • Experience managing liquidity, cash forecasting, funding, and banking relationships
  • Strong knowledge of cash management, working capital, and treasury risk
  • Excellent communication and stakeholder management; Italian and English
  • Advanced Excel and PowerPoint; SAP and Treasury Management Systems a plus

🎁 Benefits

  • Permanent employment contract
  • RAL €65,000-€80,000 depending on experience
  • Annual bonus; exposure to senior treasury leadership
  • Opportunity to contribute to treasury transformation in a global tech group
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