Job Details
OverviewFor our Worldwide Finance & Control Department, we are looking for a
Treasury Manager to join the Worldwide Treasury Team at our HQ in Milan.
Your ImpactThe
Treasury Manager leads the management and optimization of the Group's FX hedging activities, ensuring regulatory compliance, accurate financial accounting and continuous improvement of treasury processes.
The role contributes to strengthening financial risk control, enhancing cash flow visibility and supporting the evolution of treasury governance and automation across the Group.
Activities: - Manage, optimize and execute the Group's FX hedging program, including trading activities, risk monitoring, accountability and reporting, hedge eff...