Multinational organization is now hiring a Treasurer to join their team.
You will report to a CFO and your main responsibilities will consist on plan and manage cash, ensure the negotiation and approval of new financing operations and ensure payments to suppliers.
You will also be responsible for implementing treasury consolidation and efficiency and for implementing new cash flow, financial reporting and forecasting tools.
We are looking for professionals with a degree in Management, Economics or similar area and around 8 years’ experience on treasury roles. You must be English fluent ant it will be a plus to possess SAP experience.
You must have an analytical profile, be a problem solver, able to work under pressure with tight deadlines. It is also important you are a team player and present good communication skills. Please send us your English CV if you match the above requirements and have the ambition to join this company.
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