Strategic Cash Flow & Treasury Coordinator

Adecco • buenos aires, ciudad autónoma de buenos aires • Posted June 17, 2026

About the Role

Adecco is seeking a Cash Flow Coordinator in Buenos Aires to manage daily cash-flow activities and strategic treasury coordination. This role involves optimizing liquidity management, cash forecasting, and oversight of capital planning.

The ideal candidate will have 4+ years of experience in related financial roles, strong Excel skills, and fluency in English and Spanish. This full-time position offers a clear pathway for involvement in critical financial processes within a dynamic environment.

#J-18808-Ljbffr