Número de solicitantes
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Magnera's purpose is to better the world with new possibilities made real. For more than 160 years, the originating companies have delivered the material solutions their partners need to thrive. Through economic upheaval, global pandemics and changing end-user needs, they have consistently found ways to solve problems and exceed expectations. By bringing together these legacy companies, the distinct scale and comprehensive portfolio of products will bring customers more materials and choices. With a combined legacy of resilience, Magnera will build personal partnerships that withstand an ever-changing world.
The Treasury Cash Manager is responsible for centralizing, optimizing, and safeguarding the group’s cash position across multiple European entities and manufacturing sites. A critical aspect of the role is maintaining ongoing, close dialogue with Finance Leads across entities to ensure high-quality, reliable cash flow forecasts, enabling effective liquidity planning and decision-making.
Fluent in English
• Proven Treasury experience is required, with preference for candidates holding (or working towards) ACT certifications (e.g., ACT Certificate or ACT Fundamentals), or equivalent, and a strong academic background in Finance, Accounting, Economics, or a related field.
• Strong understanding of cash management, liquidity, and treasury operations
• Experience in multi-entity, multi-currency environments (EMEIA preferred)
• Good knowledge of banking structures, payments, cash pooling and financial instruments (FX, funding, trade finance)
• Ability to collaborate effectively with Finance Leads and cross-functional stakeholders
• Familiarity with treasury systems, internal controls, and compliance requirements
Must be fluent in English
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