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Treasury Manager – EMEA

Kuehne+Nagel · Belgrade

New
Senior 🇬🇧 English
FX management Hedging Cash flow forecasting Liquidity management Banking operations

Job description

About the role

Join Kuehne+Nagel's Finance Knowledge Center in Belgrade as a Treasury Manager EMEA, where you will drive treasury excellence, liquidity optimisation, foreign‑exchange risk management and financial governance across the EMEA region.

Key responsibilities

  • Lead treasury operations across multiple EMEA countries.
  • Act as a strategic partner to Corporate Treasury and local Finance Directors.
  • Drive treasury transformation, centralisation and automation initiatives.
  • Manage FX exposure analysis, hedging and foreign‑exchange transactions.
  • Oversee cash‑flow forecasting, liquidity management and intercompany financing.

Required profile

  • 5+ years Treasury experience with hands‑on FX management.
  • Experience managing treasury across multiple entities or countries.
  • Strong knowledge of cash‑flow forecasting, liquidity management and banking operations.
  • Proven people‑leadership experience in Treasury or Shared Services.
  • Degree in Finance, Economics or Accounting (professional certifications a plus).

Required skills

  • FX management
  • Hedging
  • Cash flow forecasting
  • Liquidity management
  • Banking operations

What we offer

  • Strategic regional role with high visibility.
  • Opportunity to lead transformation and continuous‑improvement initiatives.
  • Collaborative international environment with global career opportunities.
  • Chance to build and develop a growing treasury function.
  • Culture that values expertise, innovation and continuous development.

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Published 3 hours ago

Expires 1 month from now

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Kuehne+Nagel

Belgrade