The US Corporate Treasury Cash Management Origination role is specialized in originating and orchestrating the delivery all of Santander Cash Management capabilities throughout all geographies where Santander has presence. Providing clients US and Global solutions around Payments, Collections, liquidity management and Acquiring, plus building/maintaining relationships within Santander Corporate & Investment Banking (SCIB) client base. Coordinate all commercial activity with local Global Transaction Banking (GTB) teams within Santander´s core geographies and provide Santander´s Corporate clients with a single point of contact for all cash management origination matters (centralization of the cash activity, global visibility, and local asks, etc.)”
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