Job Description Purpose of the role • Perform cash management and cash forecasting operations in line with Treasury policies. Assist in the production of consolidated Group forecasts. • Analysis of cash positions and liquidity for wide range of accounts from various regions and currencies, process and oversee treasury payments, manage and oversee banking relationships. • Working closely with Group Financial Risk Management Team – with Trading Desk
Szczegóły oferty
Firma
IAG GBS
Lokalizacja
Kraków, małopolskie
Kategoria
Unknown
Data publikacji
10.06.2025
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