Treasury & Cash Management Manager
(SAP Business One HANA | Multi-Country Operations) Work Set-up: Work from home (with occasional on-site meetings)
To manage and optimize daily treasury operations across multiple countries, ensuring effective cash flow management, foreign currency exposure control, and compliance with local tax requirements. The role will lead automation of treasury processes in SAP Business One HANA, coordinate with internal and external stakeholders, and ensure sufficient cash availability to support business operations.