Treasury Analyst: Liquidity & Cash Forecasting Expert

27 set - Milano
Ion Group

ION Group in Milan is seeking a Treasury Analyst to strengthen treasury and cash management activities within the group.
È pronto/a a candidarsi? Si assicuri di aver compreso tutte le responsabilità e i compiti associati a questo ruolo prima di procedere.
You will work with cross‑functional teams to support liquidity, funding, and reporting.

The role targets 2–5 years of relevant experience; requires Italian and English fluency, strong Excel and SAP knowledge, and a proactive mindset. xysqume
Permanent contract, CCNL Metalmeccanico, €45k–€55k gross annually.

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