We have an urgent requirement for a strong Treasury professional (4–6 years experience) to support our APAC and EMEA liquidity management.
This high-impact role requires a proven self-starter who can independently manage multi-entity, multi-currency cash positioning, liquidity optimization and Treasury controls with minimal onboarding or handholding. Robust cross-functional partnering skills and TMS/banking platform experience are essential.
We will only consider candidates who are immediately available (or can start at very short notice).