Description
NiCE is hiring a Treasury Manager to run day-to-day treasury operations across global entities, including cash management, liquidity forecasting, funding, FX, banking relationships, insurance programs, risk mitigation, reporting, and treasury technology. The role partners with Corporate Finance, Accounting, and the Head of Treasury, and requires at least five years of treasury experience in corporate finance, strong financial and Excel skills, and familiarity with ERP systems and data visualization tools. The position follows a hybrid model with two office days and three remote days per week.

