About this role
Treasury Specialist at Klépierre. Location: Copenhagen or Denmark. Role: managing liquidity, reconciling cash, handling derivatives Requirements: Bachelor's or Master's in finance/accounting/treasury, practical treasury experience (cash pool, liquidity, loans, derivatives), Excel and SAP proficiency, strong analytical and communication skills, fluent in Danish/Swedish/Norwegian and English. Category: Finance and Accounting Seniority: Mid Level Tools: Microsoft Excel, SAP Commitment: Full Time Workplace: Onsite Languages: Danish, Swedish, Norwegian, English