Hybrid Cash Management & Treasury Operations Analyst

12 set - Montà
Randstad Italia

Randstad Italia is seeking a Cash Management Treasury Operations Analyst for our Turin area.
The role focuses on daily treasury operations, cash forecasting, liquidity management, and month-end closing within a fast-paced automotive multinational environment.
Hybrid work arrangement offers a mix of on-site and remote days.
The ideal candidate will have a degree in Accounting/Finance, hands-on experience with Kyriba and SAP, and strong English skills (minimum B2).
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