ION Group
Treasury Analyst, Italy
TLDR
Coordinate daily treasury operations, cash positioning, and liquidity forecasting with cross-functional teams to optimize funding and cash conversion.
About us:
We are a community of visionary innovators, dedicated to providing pioneering software and consultancy services to financial institutions, trading firms, central banks, governments, and corporations around the world. We strive to simplify the way people work. We do that by providing workflow and process automation software, as well as providing real-time data and business intelligence to help people make better decisions. We are 13,000+ employees, we operate globally with 80+ global offices, and we serve over 4,800+ customers worldwide.
For the strengthening of the Treasury function within Cedacri's companies, part of ION Group, we are looking for talented professionals to grow their career as Treasury Analyst. This position is targeted at candidates with 2–5 years of relevant experience in Treasury and Cash Management. Selected candidates will be placed in a dynamic and innovative environment and will collaborate with cross-functional teams to support the company’s liquidity, funding, and cash management activities.
Your role:
Your key duties and responsibilities
Support daily treasury operations, including cash positioning, liquidity monitoring, and cash flow forecasting
Prepare short-, medium-, and long-term cash flow forecasts and perform variance analysis versus actuals
Support funding activities, including revolving credit facilities, intercompany loans, and other financing arrangements
Manage relationships with banking partners and support the administration of bank accounts and treasury services
Monitor working capital performance, supporting initiatives aimed at improving collections and optimizing cash conversion
Support treasury reporting activities for senior management and Group Treasury, providing timely insights on liquidity and funding requirements
Collaborate with Finance, Accounting, Tax, Legal, and Business teams on treasury-related projects and initiatives
Contribute to process improvement and automation initiatives within the Treasury function
Other duties
We might ask you to perform other tasks and duties as your role expands.
Your skills, experience, and qualifications required
Master’s degree in Finance, Economics, Management Engineering, Business Administration, or another quantitative field (with honors preferred)
At least two to five years of experience in Treasury, Corporate Finance, Cash Management, FP&A, Audit, or related finance functions
Solid understanding of cash flow forecasting, liquidity management, working capital, and financial reporting principles
Excellent knowledge of the Italian and English language
Advanced knowledge of Microsoft Excel and PowerPoint
Strong analytical and problem-solving skills with the ability to interpret large datasets and communicate key insights
Experience with ERP systems (SAP preferred); knowledge of Treasury Management Systems would be considered a plus
Ability to manage multiple priorities, work independently, and meet deadlines in a fast-paced environment
Strong attention to detail, accuracy, and a proactive “get things done” attitude
What we offer:
Permanent employment contract
Italian National Collective Labour Agreement for the Metalworking Industry (CCNL Metalmeccanico)
Gross Annual Salary (RAL) ranging from €45,000 to €55,000, depending on experience, skills, and qualifications
Opportunity to join a leading international technology group operating in the financial services industry
Exposure to senior stakeholders and Group Treasury activities in a dynamic and growing environment
Location:
Milan
Important notes:
According to the Italian Law (L.68/99), candidates belonging to the protected categories list will be given priority.
ION Group builds innovative software solutions that enhance trading and workflow automation for the financial services industry. We serve a diverse clientele, including corporations, central banks, and financial institutions, providing them with high-value analytics and strategic consulting. Our emphasis on transformative technology positions us as a key player in the evolving landscape of finance.
- Founded
- Founded 1998
- Employees
- 500+ employees
- Industry
- Internet Software & Services
Treasury Analyst