Manage cash activities, including payments and receivables;
Support international treasury operations;
Ensure compliance with treasury policies, collaborating closely with international team members;
Assist in implementing and optimizing processes;
Handle day-to-day Treasury tasks, including bank account management and reporting.
Requirements
Must haves:
Work experience in finance: accounting, treasury, or related fields;
Enterprise-software experience such as SAP or Oracle ;
Knowledge in European Banking;
Experience working in an international environment;
Proficiency in English, both verbal and written.
Nice to have:
Bachelor's degree (or equivalent) in accounting or economics;
Experience with SAP is highly desirable;
Familiarity with SOX (Sarbanes-Oxley) rules and procedures;
Fluency in another European language (e.g., German, Spanish, French, Nordic languages) .
Company offers
Opportunities for career growth within a global organization.
Flexible working hours and hybrid work model.
Vibrant and collaborative work environment.
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