Treasury Specialist: Cash Management & FX
Treasury Specialist: Cash Management & FX

Treasury Specialist: Cash Management & FX

Full-Time No home office possible
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A leading energy company in Greater London seeks a Treasury Analyst to manage operational processes within the treasury function. Responsibilities include forecasting cash flows in multiple currencies, approving FX deals, and ensuring accurate reporting. Ideal candidates will have strong IT skills, experience in Treasury Cash Management, and excellent communication abilities. Join this dynamic team to contribute to crucial financial operations and drive organizational success. #J-18808-Ljbffr

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Contact Detail:

Phillips 66 Recruiting Team

Treasury Specialist: Cash Management & FX
Phillips 66
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