
Treasury Manager
Description
Treasury Manager at NICE will manage the company's daily cash management activities, including liquidity management, short-term investments, and financial risk management such as foreign exchange and interest rates. The role includes close collaboration with the Treasury Manager and Corporate Finance division on topics such as debt management, lender reporting, and management of global insurance programs. Required: 5+ years of experience in Treasury, proficiency in ERP systems and data visualization tools, and strong communication skills to explain financial mechanics to non-expert colleagues. This is an independent position reporting to the Treasury Manager, suitable for someone with a process-builder mindset and collaborative approach, working in a dynamic global environment. Location: Raanana · Department: Corp Services - Corporate Finance To apply: On the company website, via the button below
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Location
Raanana
Treasury Manager
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