Back to jobs
A

Cash Flow & Treasury Analyst - Group Finance

Pomezia, IT +1 more…Posted 3 weeks ago

Job Description

  • A degree in Economics, Finance, or a related discipline
  • genuine passion for financial analysis and cash flow dynamics — curiosity about why numbers move, not just what they show
  • Strong analytical skills, attention to detail, and a structured way of thinking
  • Solid Excel skills; experience with ERP or financial planning tools is a plus
  • A proactive mindset, intellectual curiosity, and appetite for growing responsibility
  • Good command of English
  • See Your Match Score

    Sign up and Renata will show you how this job matches your skills and experience.

    Cash Flow & Treasury Analyst - Group Finance at Alfasigma | Renata