Join us as a Corporate Finance & Treasury Analyst Trainee to develop your skills in treasury managem
岗位职责
As a Corporate Finance & Treasury Analyst Trainee, you will be immersed in the core financial operations of the company, focusing on treasury management, financial analysis, and corporate finance activities. Your primary responsibilities include:
Treasury Operations: Assist in managing daily cash positions, monitoring bank accounts, and executing cash transfers. Support the preparation of cash flow forecasts and liquidity reports to ensure optimal cash management.
申请条件
To succeed in this role, you should possess:
Currently pursuing or recently completed a Bachelor's or Master's degree in Finance, Accounting, Economics, or a related field.
Strong analytical and quantitative skills, with proficiency in financial modeling and data analysis.