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Co, Llp is seeking a treasury-focused finance professional for a 100% remote role. You will own daily cash management, forecasting, vendor contracts, and internal approval workflows, collaborating with Accounting and Procurement.
You will build cash flow models, monitor bank accounts, manage vendor data, and drive automation to reduce manual inputs. A 1–3 year background in finance or treasury plus advanced Excel and English is required.
Our client is a global software company that helps organizations manage risk, compliance and governance. They are growing their Finance team and looking for someone with an excellent attitude and a strong willingness to learn.
This is a treasury-focused role with procurement responsibilities. You will own daily cash management and forecasting, and manage vendor contracts and internal approval workflows. You will work closely with Accounting, Procurement and business stakeholders.