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- Teljes munkaidő
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5-10 év tapasztalat • Angol középfok
Főbb feladatok- Prepare and analyse group liquidity reports in order to provide management with actionable insights.
- Oversee all aspects of daily cash management including monitoring and managing cash positions across various entities within the group.
- Identify, assess, and manage FX and credit risk exposures.
November 14.
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