About the role
Our client, a US multi-national corporation that employs over 70,000 people, is a leading international industrial group operating in a complex, fast-evolving environment. As part of this reshaping of its treasury function, they are building a best-in-class treasury capability from the ground up.
EMEA Treasury will play a key role in enhancing cash visibility, improving liquidity forecasting, and supporting financial decision-making across the region. This position offers a unique opportunity to contribute to the build-out of a modern, best-in-class treasury function within a global organization. The role reports to the Treasury Director EMEA.
Liquidity Management
- Enhance and optimize cash flow forecasting models across the region
- Drive standardization of forecasting methodologies with regional and corporate stakeholders
- Partner with Finance, FP&A and shared services to improve working capital efficiency
Reporting & Analysis
- Develop and maintain treasury reporting for senior management
- Perform variance analysis and provide clear, actionable insights
- Produce regular cash reporting (daily, weekly, monthly)
Projects & Governance
- Support the review and implementation of treasury policies
- Contribute to the development and enhancement of treasury systems (TMS)
- Participate in cross-functional treasury and finance projects
This role acts as a key interface between Group Treasury and regional teams, supporting the rollout of processes, policies, and improved cash visibility.
Requirements
Engineering excellence at the highest level
Experience
Solid experience in corporate treasury, with a focus on liquidity and cash forecasting in an international environment
Proven ability to build and improve cash flow forecasting models
Strong stakeholder management skills across Finance, Operations, and senior leadership
Experience working in complex, multi-entity and multicultural organizations
Skills
Strong analytical mindset with attention to detail
Clear communicator, able to present financial insights to senior stakeholders
Hands-on, proactive, and solution-oriented
Advanced Excel skills; experience with TMS or ERP systems is a plus (e.g. SAP, Kyriba, OneStream)
Education
Degree in Finance, Accounting, or related field
Professional qualification (ACA, ACCA, CIMA, ACT or equivalent) preferred
If you are seeking a high-impact role within a transforming international environment where you can shape treasury processes, gain strong visibility, and partner with senior stakeholders, then apply and elevate your career in treasury within a dynamic and forward-looking organization.
This position is open in Poland or Romania.
Call me to discover more about this challenging role! And you won't regret it.
Alexandra
+41 78 666 3669 whatsapp
Skills
Strategic Thinking, Decision-Making Under Uncertainty, Communication with Senior Stakeholders, Leadership & Coaching, Cross-functional Collaboration, Problem Solving, Adaptability
Data & Systems
Advanced Excel, Financial System (SAP, ERP Implementation, Data Governance, Data Analysis & Visualization
