Global Treasury & Risk Manager – Remote-Friendly

IFF N&B Iberica, S.L.

Asturias

Presencial

EUR 90.000 - 130.000

Jornada completa

Hace 7 días
Sé de los primeros/as/es en solicitar esta vacante
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Ventajas ofrecidas por este puesto de trabajo

Flexible Home Office Opportunities
Training Opportunities
Learning & Development Programs

Descripción de la vacante

IFF N&B Iberica, S.L. in Asturias, Spain is seeking a Global Cash & Risk Manager to oversee treasury activities, cash management, liquidity, and risk mitigation across the group. The role focuses on forecasting, short-term funding, and communicating cash needs to stakeholders.

You will lead FX, debt issuance, hedging programs, and coordination with banks and internal teams, delivering insights and driving value while ensuring compliance with treasury policies.

Formación

  • Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.
  • Advanced degrees or professional certifications (CTP, CRMP, AMCT, CPA) are advantageous.
  • Strong understanding of global cash management practices and financial risk assessment.

Responsabilidades

  • Oversee global liquidity, cash forecasting, and investment activities to optimize cash utilization.
  • Lead FX, interest rate, credit, and commodity risk management programs including hedging.
  • Manage funding activities, debt issuance, refinancing, and capital structure.
  • Provide treasury reporting and financial analysis to support business decisions.
  • Coordinate with internal and external stakeholders to ensure efficient treasury processes.

Conocimientos

Global liquidity management
Cash forecasting
FX and risk management
Debt financing leadership
Stakeholder engagement

Educación

Bachelor’s degree in Finance, Accounting, Business Administration, or related field
Advanced treasury/risk certifications (CTP/CRMP/AMCT/CPA)

Herramientas

Treasury management systems
Financial software

Descripción del empleo

IFF N&B Iberica, S.L. in Asturias, Spain is seeking a Global Cash & Risk Manager to oversee treasury activities, cash management, liquidity, and risk mitigation across the group. The role focuses on forecasting, short-term funding, and communicating cash needs to stakeholders.

You will lead FX, debt issuance, hedging programs, and coordination with banks and internal teams, delivering insights and driving value while ensuring compliance with treasury policies.

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