Treasury & Liquidity Analyst | Cash Flow, Hedging & Finance
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IBA is seeking a Treasury Analyst to manage the Group’s treasury operations, liquidity and financial risk management. Based at headquarters, you will work with Finance, Business Units and external partners to support day-to-day activities and strategic projects.
You will implement cash pooling, fund structures and risk hedging, while ensuring proper controls and reporting to management and the audit committee. Fluency in English and French is preferred within a multinational environment.