Senior Treasury Specialist
Milano, IT
Job Purpose
We are looking for a technically proficient and detail-oriented person to analyse financial risks, manage FX risk and support Head of Group Treasury, playing an active role, gaining a valuable hands-on experience of treasury operations, treasury projects and financial planning management in a multinational Group.
Key Responsibilities
• Identify and assess financial risks, including FX, interest rate, and operational exposures.
• Stay updated on market trends to proactively address potential financial risks.
• Propose and execute hedging strategies agreed to mitigate risk and capture profit opportunities.
• Manage ad hoc projects within treasury
• Support Head of Group Treasury in the negotiation of new financings
Required Education
Degree in Finance or Business Administration
Required Skills and Experience
- 7-10 years of experience in similar roles in the Treasury Department of an international company
- Candidates with a relevant experience in a primary financial consultancy or audit firm could be also evaluated
- Strong knowledge of Excel and PowerPoint
- A strong knowledge of Bloomberg and third-party platforms
- Ability of a Team coordination is a plus
- Autonomous
- Analytical skills and agile thinking
- Team player
- Ability to multi-task and prioritise workloads
Required Languages
Fluent English