As a Corporate Finance & Treasury Analyst Trainee, you will be immersed in the core financial operations of the company, gaining hands-on experience in corporate finance and treasury management. Your primary responsibilities will include:
Financial Analysis & Reporting: Assist in preparing financial reports, analyzing cash flow statements, and monitoring financial performance against budgets. Support the team in forecasting and variance analysis to ensure accurate financial planning.
Treasury Operations: Manage daily cash positioning, process wire transfers, and maintain bank account records.