Treasury Operations at Pilgrims Europe
As a key member of our Treasury team, you will be responsible for providing accurate and timely financial reporting for all areas of treasury, including forex, interest, cash, and intercompany funding. Your expertise will be essential in preparing cash forecasts and managing short-term cash requirements to ensure the smooth operation of our business.
Key Responsibilities:
* Prepare and review financial reports for treasury operations
* Manage cash forecasts and short-term cash requirements
* Ensure compliance with Treasury policies and procedures
Requirements:
* Strong analytical and problem-solving skills
* Excellent communication and interpersonal skills
* Ability to work in a fast-paced environment