Job Description
We are looking for 2 Treasury Analysts to join a dynamic mid-office treasury team in Warsaw. This is an excellent opportunity to work on FX analysis, cash-flow management, and management reporting in a large international corporate environment.
Key Responsibilities
Perform mid-office treasury activities: FX analysis, cash-flow planning, and business reporting.
Collaborate closely with internal business partners to support strategic financial decisions.
Prepare insights and reports for senior management, contributing to high-level business discussions.
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