Treasury & Cash Management Specialist – Hybrid/Remote
|
Otovo SRL
Madrid
A leading renewable energy company in Madrid is hiring a Financial Treasury Specialist to manage daily cash and liquidity forecasting, oversee banking relationships, and enhance financial processes. The ideal candidate has 3–5 years of experience in Treasury or Corporate Finance, fluency in English, and a proactive approach to optimizing finance operations. This role offers a competitive salary... |
Ver sueldo y Detalles |
|
hace 5 días
|
|