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1 Candidat |
Description du poste:
Job Description
About the role
Do you want to put your financial skills into practice in a diverse and global manufacturing company? Are you ready to work in a changing and dynamic environment? This internship is scheduled to start on 15th of June 2026 for a duration of 6 months. The role requires a commitment of 5 days per week, with the flexibility to work from home 2 days per week. As the treasury intern, you will gain a deeper insight into corporate treasury operations and contribute to the department's day-to-day operations, focusing primarily on foreign exchange management and regional projects.
Key Responsibilities
* Perform periodic analysis on FX exposures and FX gains/losses while interacting with internal stakeholders.
* Support the Treasury FX Manager in the execution of FX transactions.
* Contribute to regional and global Treasury projects aimed at driving process efficiency.
* Assist in areas such as financial risk management and cash management.
* Support operations involving intercompany loans and treasury systems
Profil requis du candidat:
Qualifications
Required
* Currently following a Bachelor's or Master's degree in Economics or Business, with a focus on Finance or Financial Economics.
* Good knowledge of Excel and/or Google Sheets (knowledge of pivots, VLookup, and Index is a plus).
* Strong communication skills in English.
Skills you need to succeed
* Ability to work effectively in a changing and dynamic environment.
* Strong analytical skills and a detail-oriented mindset
| Origine: | Site web de l'entreprise |
| Publié: | 03 Mar 2026 (vérifié le 04 Mai 2026) |
| Type de poste: | Stage |
| Secteur: | Grande consommation |
| Durée d'emploi: | 6 mois |
| Langues: | Anglais |
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