31 lug - Padova
Canonical
Canonical is seeking a Treasury Analyst to safeguard global liquidity, oversee funding movements, and manage multi-currency cash operations.
You will partner with accounting, FP&A;, and stakeholders to forecast funding needs and optimize liquidity for a globally remote organization.
The role requires strong financial modeling, CFA/CTP or equivalent, and experience across 20+ currencies.
Travel up to four times yearly is expected for internal events and meetings.
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