Found Description
UNDP Madrid is seeking a Treasury Associate to provide analytical support in daily cash management, imprest monitoring, and signatory management.
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You will work under the Treasury Specialist and collaborate with Country Offices and Headquarters to ensure liquidity and compliance.
The role focuses on cash-flow forecasting, currency positioning, and processing EFTs, with dashboards and reports to monitor performance. xhfqzwm
Fluency in English and ERP/Oracle experience are valued.
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