Treasury cash management analyst M/F
Published on 10/03/2026
Hays Luxembourg
- Manage day-to-day cash positioning and liquidity activities for entities across the EMEA region.
- Support short-term investment decisions and foreign exchange transactions.
- Work with banking partners to enhance cash pooling structures, liquidity management and treasury efficiency.
- Contribute to the execution of key financial transactions supporting business operations.
- Assist in improving treasury processes through the effective use of technology and treasury systems.
- Ensure compliance with internal financial controls and treasury policies.
- Maintain cash visibility and treasury reporting, including regular cash flow analysis and performance metrics.
- Build strong relationships with internal teams and external financial institutions.
- Bachelor's degree in Finance, Accounting, Economics or a related discipline.
- Previous experience in treasury, cash management or corporate finance operations.
- Fluent English is required.
- Strong organisational skills with the ability to prioritise tasks effectively.
- Proficiency in Microsoft Office, particularly Excel.
- Experience with a Treasury Management System (TMS) such as Kyriba or similar tools.
- Ability to work independently and collaboratively in an international environment.
- Exposure to multi-entity or international treasury activities.
- Basic knowledge of foreign exchange risk management.
- Proactive and solution-oriented mindset.