Treasury Manager: Cash Flow, Working Capital
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sennder, Europe’s leading digital freight forwarder, is hiring a Treasury Manager for the Milan office. You will manage daily cash flow, optimise working capital, and centralise treasury processes across the group.
You’ll oversee cash pools, handle financing activities, and implement a treasury management system, coordinating with multiple stakeholders to ensure liquidity and risk controls. Ideally you bring 4–8 years centralised treasury experience, strong Excel skills, and familiarity with
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