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Junior Treasury Accountant - fixed term

Princess Cruises

Genova

Ibrido

EUR 30.000 - 45.000

Tempo pieno

Oggi
Candidati tra i primi

Descrizione del lavoro

A global cruise company is seeking a Junior Treasury Accountant to ensure accurate reconciliation of bank transactions and support refund processes in their Finance Department at the headquarters in Genoa, Italy. The role offers a hybrid work model and requires a proactive mindset with strong cash management skills. Fluency in English is a must, along with proven problem-solving abilities in a dynamic environment.

Servizi

Flexible hybrid work model
Supportive team environment

Competenze

  • Experience in cash management and financial reporting.
  • Strong knowledge of accounting principles and cash flow processes.
  • Fluency in English, both written and verbal.

Mansioni

  • Ensure timely and accurate reconciliation of bank transactions.
  • Analyze bank transactions for alignment with forecasts.
  • Manage refund requests and their timely release.

Conoscenze

Cash management
Financial reporting
Accounting principles
Problem-solving
Leadership
Communication
Analytical skills
Descrizione del lavoro

Are you passionate about cash management and financial accuracy? Do you thrive in a fast-paced environment where precision and timing are key? If so, we have an exciting opportunity for you!

We’re seeking a Junior Treasury Accountant to join our dynamic Finance Department at Costa's Headquarter in Genoa, Italy. This role will focus on bank transaction reconciliation and supporting our Treasury Refunds Team.

Who we are

Welcome to our global community! We take pride in our diverse team of over 20,000 professionals from 70 different countries and cultures. At Costa, we believe in open communication, positivity, and support. We foster an environment built on trust and transparency, where everyone's voice is heard.

Responsibilities
  • Ensure timely and accurate reconciliation of bank transactions and support refund processes.
  • Analyze bank transactions uploaded into the Treasury System and verify alignment with forecasts.
  • Allocate transactions correctly into the Accounting System to maintain financial compliance.
  • Manage refund requests and ensure timely release, whether automatic or manual.
  • Use financial data to ensure accurate reporting and reconciliation.
  • Enhance treasury tools and systems, continuously seeking efficiency improvements.
  • Build strong relationships with internal stakeholders and support cross‑functional collaboration.
Qualifications & Skills
  • Leverage experience in cash management and financial reporting to support treasury operations with precision.
  • Apply strong knowledge of accounting principles and cash flow processes to ensure financial accuracy.
  • Demonstrate a proactive mindset and problem‑solving skills for every challenge.
  • Collaborate effectively with the team, demonstrating leadership and adaptability.
  • Communicate fluently in English and embrace diversity as a global citizen.
  • Show excellent communication and analytical skills with a strong sense of ownership.
Benefits & Work Environment
  • Flexible hybrid work model with both onsite and remote options.
  • Located at our Genoa offices, aligning with our global strategy.
Inclusion & Belonging

Costa is like a world within a world. Onboard and ashore, we are committed to providing equal opportunities to all, regardless of gender, ethnicity, belief, disability, sexual orientation, or any other characteristic that makes us unique. Every individual is valued and respected for who they are. At Costa, inclusion fuels innovation and excellence and unites us in delivering unforgettable experiences to our guests and our people.

Additional Information

Contract type: fixed-term, full-time, hybrid

CV Format: You can attach your CV in English or Italian, in PDF or Word format

Bring your ambitions to life. Join us and discover our ocean of possibilities!

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