Trainee in Treasury

Aon plc

Kraków

Hybrid

PLN 28,000 - 42,000

Full time

9 days ago
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Job summary

Aon plc in Kraków is offering a Trainee position in the Treasury Team. You will gain valuable experience in a global treasury department and learn about tools and processes while developing essential professional skills.

During the first three months you will learn the role, meet the finance team, and become familiar with daily workflows. After training you will participate in cash position checks, payment initiation, and controls, working in English.

Qualifications

  • Proficient English (CEFR B2) required for daily use.
  • Attention to detail with ability to manage multiple data sources.
  • Willingness to commit to 12 months and 30 hours per week.

Responsibilities

  • Assist in daily treasury activities and learn risk controls.
  • Support cash position reviews across bank systems.
  • Initiate payments and approvals on internal dashboards.
  • Learn documentation review and client invoicing processes.

Skills

English proficiency
Attention to detail
30 hours per week

Education

Master's degree in finance, business, accounting, economics or related subject

Job description

Trainee in Treasury Team

As a Trainee in Treasury Team you will achieve valuable experience working for a global treasury department and will gain insight into Aon’s culture and businesses while developing critical skills necessary for future success in the corporate environment.

Aon is in the business of better decisions

At Aon, we shape decisions for the better to protect and enrich the lives of people around the world.

As an organization, we are united through trust as one inclusive team and we are passionate about helping our colleagues and clients succeed.

What the day will look like

In your first three months:

  • You’ll learn about the role and the responsibilities of Treasury Team
  • You’ll get to know our team of finance experts
  • You’ll become familiar with some tools and techniques that we use on a daily basis
Once you're fully trained, you will participate in daily activities of Treasury team such as:
  • Checking current cash position at various bank systems and secure required cash for transactions
  • Reviewing received client invoice/documentation & performed necessary controls
  • Initiating payment transactions on the Dashboard
  • Providing accurate checks and approvals on the Dashboard and within banking system
Skills and experience that will lead to success:
  • Availability to work 30 hours per week for a 12-month period
  • Proficient English skills (at least B2 level on the CEFR scale) are needed as you will be using English every day.
  • Attention to detail - you need to be able to keep track of lots of data and enjoy working at a fast pace
  • In the process of completing a master's degree in finance, business, accounting, economics (or a related subject) with 3-4 years of classroom experience
  • No previous experience is required because we will train you how to perform your responsibilities to a high standard

#comerciariskandreinsurancesolution

#LI-Hybrid

#LI-MŚ1

#LI-Internship

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