Related skills
reporting economics finance mathematics cash_flow_monitoringπ Description
- Work with Treasury on cash flow monitoring and liquidity management.
- Assist with financial reporting and capital management projects.
- Learn risk management in traditional banking and crypto contexts.
- Support policy alignment with risk appetite and internal controls.
- Gain day to day treasury operations experience.
π― Requirements
- Pursuing a degree in Finance, Economics, Maths, or similar.
- Exposure to financial analysis, accounting, or corporate finance.
- Understanding cash flow movements and interest rates.
- Strong written and verbal English communication.
- Numbers-focused with data entry accuracy.
- Analytical, eager to learn in fast paced treasury fintech.
π Benefits
- 100% remote work from anywhere.
- Flexible PTO and autonomy.
- Learning budget for books and conferences.
- Strong work life balance.
- Collaborative, high performance team.
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