Junior Treasury Analyst

Fever

Madrid, Spain
On-site
Global cash flow monitoring
Financial expansion support
Cash analysis and control
Assist in setting up forecasts and budgets according to short/mid/long term business plans

Job Summary

  • Assist in setting up forecasts and budgets according to short/mid/long term business plans.
  • Monitoring and review of the Global Fever Group Cash Flow.
  • Attractive compensation package with a 40% discount on all Fever events and experiences.

Matching Summary

Assist in setting up forecasts and budgets according to short/mid/long term business plans.

Skills & Requirements

Must-have

  • Global Cash Flow Monitoring
  • Financial Expansion Support
  • Cash Analysis and Control
  • Advanced Excel Skills

Nice-to-have

  • Strong organization and time management
  • Ability to manage multiple priorities
  • Data mining knowledge

Key Requirements

  • 0-3 years of experience
  • University degree, Master degree
  • Finance background
  • Bilingual Spanish and English

Work Rights

Not specified

Tailored Resume

Cover Letter