Head of Treasury: Cash Flow, FX & Financing Strategy

Impress · madrid, comunidad de madrid, Spain

Location
madrid
Job Type
Full-time
Posted
July 02, 2026

Job Description

Impress is seeking a Head of Treasury to manage cash flow, liquidity, and financial risk within our Finance Team. This role involves ensuring operational efficiency and developing strategies for foreign exchange risk management.

The ideal candidate will have a strong background in treasury functions, with proven experience in managing debt and capital markets. Join us to be part of a dynamic and growing international team dedicated to enhancing health and quality of life.

#J-18808-Ljbffr

Ready to Apply?

Submit your application for Head of Treasury: Cash Flow, FX & Financing Strategy at Impress

Apply Now