Junior Treasury Reporting Analyst – Hybrid FinTech Growth

Ebury

Málaga

Híbrido

EUR 25.000 - 38.000

Jornada completa

Hace 5 días
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Ventajas ofrecidas por este puesto de trabajo

Competitive salary
Annual discretionary bonus
Mentorship
Hybrid work model
Central office location

Descripción de la vacante

Ebury Malaga Office is seeking a Junior Treasury Reporting Analyst to join the Treasury Reporting and Control team. This hybrid role requires 4 days in the office and 1 day from home per week, interacting with the Group Head of Treasury Reporting and Control.

You will perform monthly balance sheet reporting, maintain data integrity, and support audits and analyses across the Treasury and Finance teams. The position suits someone with 1–2 years in financial services and strong Excel skills.

Formación

  • Team player with drive and passion.
  • 1–2 years experience in financial services, auditing firm or accounting.
  • Advanced Excel (or Google Sheets) skills required.
  • Fluent English and strong communication abilities.
  • Able to adapt to a fast-paced environment.

Responsabilidades

  • Monthly balance sheet reporting and reconciliation for key treasury accounts, investigating variances.
  • Maintain data integrity across systems through reconciliations.
  • Detect and coordinate resolution of reporting issues with other departments.
  • Lead treasury-related external audits: prepare docs and respond to auditors.
  • Support Treasury and Finance teams with special projects and analysis.

Conocimientos

Team player
Fast learner
Multitask
Strong communication
English (high level)

Herramientas

Excel
Google Sheets

Descripción del empleo

Ebury Malaga Office is seeking a Junior Treasury Reporting Analyst to join the Treasury Reporting and Control team. This hybrid role requires 4 days in the office and 1 day from home per week, interacting with the Group Head of Treasury Reporting and Control.

You will perform monthly balance sheet reporting, maintain data integrity, and support audits and analyses across the Treasury and Finance teams. The position suits someone with 1–2 years in financial services and strong Excel skills.

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