Investment & Cash Strategy Manager
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CEVA Logistics is hiring a Manager, Investment and Cash to oversee investment, CAPEX, ICAP and cash forecasting in collaboration with Treasury. You will ensure rigorous validation, challenge proposals, and deliver strategic reporting to support CEO and CFO decisions.
The role requires 5+ years in finance or treasury, MBA/CFA/CPA, and strong Excel/Power BI skills, with experience in logistics or multinationals. Join a global team driving liquidity optimization and governance.
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