VIE - Treasury Management
KI-Beschreibung
In this role, you will dive into the world of Treasury Management, managing cash operations, monitoring payments, and supporting foreign exchange risk management. Your contributions will be vital in forecasting cash flow and ensuring smooth financial operations.
Anforderungen
1–3 Jahre- •Master’s degree in Business with specialization in Finance, Accounting, or Controlling
- •1 to 3 years of experience in Finance (Treasury, Controlling, or M&A)
- •Fluency in English and German in reading, speaking, and writing