Treasury Manager: Cash Flow, Working Capital & Strategy
sennder ·
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psennder, Europe’s leading digital freight forwarder, is hiring a Treasury Manager for the Milan office. You will manage daily cash flow, optimise working capital, and centralise treasury processes across the group. /ppYou’ll oversee cash pools, handle financing activities, and implement a treasury management system, coordinating with multiple stakeholders to ensure liquidity and risk controls.
Ideally you bring 4–8 years centralised treasury experience, strong Excel skills, and familiarity with /p
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