We are seeking an experienced Treasury Manager to join our team in Europe. This key role will involve managing the company's bank relationships, cash positions, forecasting, and reporting for multiple entities and currencies. The ideal candidate will have a bachelor's degree in Finance or Accounting and 5-7 years of experience in treasury management. They will be proficient in treasury management systems and advanced Excel skills. Responsibilities include ensuring adequate liquidity, initiating and releasing local and foreign currency wires and ACH type payments, assisting payroll teams, and collaborating with cross-functional teams to support treasury activity throughout the EMEA region. The successful candidate will also prepare and present regular treasury reports to senior management. Strong analytical and problem-solving abilities, as well as excellent communication and interpersonal skills, are essential for this role. This is a dynamic and fast-paced environment where the right candidate will thrive. Additional experience in corporate finance or banking is desirable but not required. Key Skills: