Global Treasury Leader: Strategy, Cash Flow
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IBA in Louvain-la-Neuve invites an experienced Lead of Treasury to define and execute the global treasury strategy while managing day-to-day operations across 20+ entities.
You will oversee cash management, forecasting, liquidity optimization, funding, customer financing and financial risk controls, collaborating with banks and internal stakeholders.
The role requires a minimum of 10 years in corporate treasury, fluency in English and French, and strong ERP and BI skills.