Treasury Specialist - Cash Flow & Banking Strategy

  • Pubblicato il 17/06/2026
  • Milano (MI)
  • Da definire
  • 0

Descrizione:

A leading European energy company in Milano is seeking a Treasury Specialist. This role involves managing payment and collection processes, cash flow monitoring, and optimizing financial structures. The ideal candidate has at least 5 years of relevant experience, with strong skills in economics, finance, and advanced Excel proficiency. Fluency in Italian and command of English is required, ensuring a proactive and detail-oriented approach in a fast-paced environment.#J-18808-Ljbffr