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About the role
We are looking for a Senior Treasury Operations Advisor/Expert (Cash Flow Forecasting and Analysis) to join the Kyivstar Treasury Operations team, who will be responsible for cash flow forecasting, working capital analysis, and managing credit agreements Main responsibilities • Forecasting cash flows and planning short-term and long-term liquidity for the group’s companies • Analysing working capital indicators and implementing initiatives to improve cash flow management efficiency • Managing
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Perks & benefits
- Medical Insurance
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