Cash Flow and Working Capital Manager

10 ott - Vimercate
Candy Hoover Group

Cash Flow and Working Capital Manager
The challenge Haier Europe, part of Haier Smart Home, is a leading player in the home appliances sector, operating through well‑known brands such as Haier, Candy, and Hoover. Headquartered in Monza (Vimercate), the company is at the forefront of delivering innovative and smart home solutions across Europe, with a strong focus on digital transformation and consumer‑centric innovation. Joining Haier Europe means becoming part of a dynamic, international environment that values collaboration, agility, and continuous development.
Teams
You will cooperate with a young, dynamic, and internationally structured team, collaborating across multiple regions to deliver efficient and well‑coordinated treasury A operations. The team is organized to leverage regional expertise while ensuring strong global alignment and governance.
About Treasury Team, also in charge of Credit management and Insurance: Front Office (Italy): Responsible for strategic treasury activities, including the management of banking relationships, stakeholder engagement,



and oversight of compliance, internal controls, and process integrity. The Front Office also serves as the primary point of contact for both internal and external partners. Middle Office (Turkey): Provides essential support to treasury operations, with a focus on control and coordination activities, including payment oversight and cash flow management processes. Back Office (China): Handles core operational activities, including payment processing and data management, ensuring a high level of accuracy, efficiency, and reliability in daily operations. This international structure fosters a collaborative and professional environment, promotes cross‑cultural communication, and offers valuable exposure to global treasury practices within a multicultural setting.
What you will do
We are seeking an experienced Cash Flow and Working Capital Manager with a minimum of 7 years of experience in cash forecasting, wor

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