Treasury Analyst: Liquidity & Cash Forecasting Expert

07 ott - Milano
Ion Group

ION Group in Milan is seeking a Treasury Analyst to strengthen treasury and cash management activities within the group. 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. Permanent contract, CCNL Metalmeccanico, €45k–€55k gross annually.

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