Junior Treasury Analyst
FeverJob Description
📋 Description Global cash flow monitoring across international entities. Cash control and expenditure reporting monthly. Bank reconciliation and transaction accuracy checks. Intercompany analysis and policy-aligned balances. Cross-functional treasury reporting for Tax/Accounting/FP&A. ERP system optimization and bank reconciliation tool enhancements. 🎯 Requirements 0-2 years experience preferred. English; bilingual Spanish. University degree; Finance background. Advanced Excel; database management knowledge. Strong organization and time management. Experience with MS Excel and databases desirable. 🎁 Benefits Attractive compensation package. Impactful role in a high-growth global leader. 40% discount on Fever events. Hybrid working mode in Madrid. Health insurance and flexible remuneration options. Professional growth and international exposure.