THE ROLE Were seeking an Accounts Payable & Treasury Specialist to support day-to-day accounts payable and treasury activities across our corporate entities, forming part of a tightly knit finance team spread across multiple international locations. This role suits
About us Chiesi is an international research-focused biopharmaceutical group with 90 years’ experience, operating in more than 30 countries, with its Headquarter in Parma, Italy. More than 8,000 employees across the group are united by a
About Flipp Flipp partners with the largest North American retailers and brands to deliver local promotions and savings to millions of engaged shoppers daily, driving superior returns on investments. We help people make smarter shopping decisions
We are the platform turning browsing into shopping. We connect 200 million shoppers with deals they love while boosting local sales for hundreds of top retailers and brands. We help consumers save time and money while
Stellantis is a leading global automaker and mobility provider that offers clean, connected, affordable, and safe mobility solutions. Our Company’s strength lies in the breadth of our iconic brand portfolio, the diversity and passion of our
Chiesi Research & Development Our R&D team represents a fundamental asset for the business. It is divided into integrated functional areas focusing on pipeline projects including discovery and preclinical research, global technical development, drug delivery technology, clinical
Description The Cash Flow Controller supports Group FP&A by forecasting, monitoring, and optimizing Free Cash Flow and Net Working Capital. The role works cross-functionally (Accounting, Tax, Treasury, Trade Finance, Industrial Controlling), contributing to risk assessment and process
Job Description: For over 150 years, our dedication to being the Global Hausbank for our clients has been driven by our people – in around 60 countries and across more than 150 nationalities. Their deep understanding,
Overview For our Worldwide Finance & Control Department, we are looking for a Treasury Manager to join the Worldwide Treasury Team at our HQ in Milan. Your Impact The Treasury Manager leads the management and optimization of the Groups FX hedging
OverviewFor our Worldwide Finance & Control Department, we are looking for a Treasury Manager to join the Worldwide Treasury Team at our HQ in Milan.Your ImpactThe Treasury Manager leads the management and optimization of the Groups FX hedging activities, ensuring regulatory
A global finance organization is seeking a Treasury Manager to join their Worldwide Treasury Team in Milan. The role involves managing the Groups FX hedging activities, ensuring compliance, and enhancing cash flow visibility. Candidates should have at least 5
International Scope: Yes The Company An established and structured industrial group with headquarters in the Nerviano area (ITALY) and a strong international footprint. The company operates in a highly dynamic manufacturing environment, characterized by complex industrial
Select how often (in days) to receive an alert:Finance Project Manager Service 1Date: 22 May 2026Company: AlstomWe create smart innovations to meet the mobility challenges oftoday and tomorrow. We design and manufacture a complete range of transportation systems,
Select how often (in days) to receive an alert:Finance Project Manager Service 1Date: 22 May 2026Company: AlstomWe create smart innovations to meet the mobility challenges oftoday and tomorrow. We design and manufacture a complete range of transportation systems,
Senior Treasury Operations Advisor/Expert (International Treasury Operations)We are looking for a Senior Treasury Operations Advisor/Expert (International Treasury Operations) to join the Kyivstar Treasury Operations team. The candidate will be responsible for managing international treasury operations, working with banks and financial instruments, and
Senior Treasury Operations Advisor/Expert (International Treasury Operations) We are looking for a Senior Treasury Operations Advisor/Expert (International Treasury Operations) to join the Kyivstar Treasury Operations team. The candidate will be responsible for managing international treasury operations, working with banks and financial instruments,
Overview For our Worldwide Finance & Control Department, we are looking for a Treasury Manager to join the Worldwide Treasury Team at our HQ in Milan. Your Impact The Treasury Manager leads the management and optimization of the Group’s FX hedging
Senior Finance Project Manager Purpose of the job The Project controller is in charge of the financial management and control of a project portfolio. At this level, he/she operates in full autonomy for large projects and can supervise a team of
Senior Treasury Operations Advisor/Expert (International Treasury Operations) We are looking for a Senior Treasury Operations Advisor/Expert (International Treasury Operations) to join the Kyivstar Treasury Operations team. The candidate will be responsible for managing international treasury operations, working with banks and financial instruments,
Position based at Luxembourg headquarters, requires regular office presence. EIB offers a truly international and multicultural environment and relocation support. The European Unions bank invites the recruitment of an Associate Borrowing and Treasury Support Officer in the