One of our international partners is looking for a Treasury Analyst in the centre of Budapest. Do you have any experience in this field? Do you speak English fluently? Are you a fresh graduate who would like to gain experience in this field and has a relevant degree in finance and/or accounting?
If so, this opportunity is looking for YOU!
In this role your main responsibilities will include monitoring accounts and forecast expected balances for each business date; daily reconciliation of these accounts; analyzing complex transactions; resolving reconciliation issues in timely manner.
You will also have to communicate effectively with partner departments and collaborate with cash & trade operations projects as needed.
University/College degree in Accounting/Finance (preferred)
Fluent in English
0-2 years work experience
Strong analytical skills
Advanced user of MS Excel, Word and MS Outlook
Flexible and supportive workplace - work balance
Career management and mentoring by senior colleagues and leaders
Socially active team and communities with diverse networking opportunities
Competitive compensation package
Gaining knowledge of products and processes
Long term career path in Treasury Funding