
Our client is a rapidly growing mid-sized company with over 4000 employees in multiple countries. They have experienced significant growth through external acquisitions in recent years. The role involves supporting the Manager in the daily cash management operations, including cash flow, bank account management, and integration of acquisitions. The intern will also contribute to structuring the treasury function by producing reports and proposing improvements, as well as initiating new projects such as optimizing bank fees, cash pooling, and liquidity management.
The successful candidate will have at least 10 years of experience in treasury management in international companies with external growth. They should possess qualities such as curiosity, proactivity, and rigor, as well as proficiency in English. Knowledge of the Kyriba tool would be a plus. The role offers an exciting opportunity for transformation and will involve interactions with various departments within the Finance and Information Systems divisions.