Descripción de la oferta
Descripción del trabajo
Viscofan is the world leader in the production and distribution of casings, offering a unique value proposition to the meat industry. With a presence in over 110 countries, serving more than 1,700 customers, generating revenue exceeding €1.2 billion and employing over 5,000 people across 23 countries.
Corporate Treasury and Financial Technician
Responsabilidades
Supervise local banking relationships and promote alignment with the Group strategy.
Manage the consolidation of Free Cash Flow forecasts and support Group‑level budgeting.
Actively contribute to corporate projects related to treasury transformation and digitalization.
Requisitos
3+ years of experience in corporate treasury, financial planning, and banking.
Strong command of English.
Advanced skills in SAP, BPC, Power BI and Excel.
Solid understanding of cash‑flow planning, liquidity management, and financial instruments.
Be part of a global leader with continuous growth and innovation. Career development and exposure to strategic projects.
We welcome all qualified candidates and create an environment where everyone can thrive.
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