Strategic Treasury Manager - Cash Flow & Europe
- Pubblicato il 10/07/2026
- Milano (MI)
- Da definire
- 0
Descrizione:
sennder Italy in Milan is seeking a Treasury Manager to lead cash management, liquidity planning and financing activities across Europe. You will drive centralized treasury processes, implement a treasury management system and collaborate with ERP teams to optimize working capital.
The role requires 4–8 years in a centralized treasury function, strong Excel modelling, English fluency, and experience with Kyriba or other TMS, Netsuite, SAP or Oracle.
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