Treasury Manager — European Cash

10 set - Milano
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sennder Italia in Milan is seeking a Treasury Manager to join the Finance department to optimize cash flow and liquidity across Europe. You will centralize payments, manage debt, and oversee treasury system implementations while strengthening banking relationships and financial controls.
The role requires 4–8 years in centralized treasury, strong Excel modeling, and experience with TMS/Kyriba and ERP systems. Fluency in English is essential and the position is based in Milan.

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