Found Description
UNDP Madrid is seeking a Treasury Associate to provide analytical support in daily cash management, imprest monitoring, and signatory management. 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. Fluency in English and ERP/Oracle experience are valued.
#J-18808-LjbffrReady to Apply?
Submit your application for Treasury Analyst: Global Cash & FX Strategy at UNDP Careers
Apply Now