Global Trade & Treasury Analyst – Cash Flow & FX

Coesia S.p.A.

Bologna

In loco

EUR 35.000 - 45.000

Tempo pieno

14 giorni+
Generatore di candidature

Non inviare un curriculum generico — genera un curriculum e una lettera di presentazione personalizzati per questo specifico ruolo.

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Descrizione del lavoro

A global industrial solutions provider based in Bologna is seeking a Trade & Treasury Service Analyst with 1-2 years of experience. This role focuses on treasury operations, trade and export finance, and requires a solid understanding of financial instruments alongside strong analytical skills. Candidates need a university degree in Economics, Business, or Finance, and proficiency in Excel and English. This position offers a dynamic environment working with various stakeholders to optimize cash flow and manage financial risks.

Competenze

  • 1-2 years of experience in Trade Finance, Export Finance, or Treasury.
  • Solid understanding of Trade Finance instruments and international payment mechanisms.
  • Ability to work in cross-functional environments.

Mansioni

  • Support treasury operations across divisions.
  • Drive working capital optimization through improved payment terms.
  • Manage relationships with banks and credit insurers.
  • Structure and negotiate Trade and Export Finance transactions.
  • Monitor foreign exchange exposure and risk mitigation.

Conoscenze

Trade Finance expertise
Analytical skills
Excel proficiency
Fluent in English

Formazione

University degree in Economics, Business, Finance or related fields

Strumenti

Treasury management systems
Piteco

Descrizione del lavoro

A global industrial solutions provider based in Bologna is seeking a Trade & Treasury Service Analyst with 1-2 years of experience. This role focuses on treasury operations, trade and export finance, and requires a solid understanding of financial instruments alongside strong analytical skills. Candidates need a university degree in Economics, Business, or Finance, and proficiency in Excel and English. This position offers a dynamic environment working with various stakeholders to optimize cash flow and manage financial risks.
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