
Finance Manager – Group Treasury
Finance Manager – Group Treasury
Budapest (hybrid) | International scope
Key Responsibilities:
- Cash operations, liquidity management, bank relationships
- FX risk mitigation, investment evaluations
- Treasury system (e. g. Kyriba) administration
- ERP-TMS reconciliations (Oracle Netsuite)
- Financial reporting, project management
Requirements:
- 5+ years in a similar treasury role in an international setting
- Experience with Kyriba or other TMS
- Strong Excel and analytical skills
- Fluent English; German is a plus
What We Offer:
- Competitive salary + annual bonus
- Extra holidays around year-end
- Private medical care, free language courses
- Flexible hybrid work model
- Inclusive, supportive global team
- Részletes információk az állásajánlatról
Vállalat: HAYS Hely: Budapest
Budapest, BudapestMunkaviszony: Permanent Hozzáadva: 13. 8. 2025
Aktív álláslehetőségek
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