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Treasury Analyst

AJC Group · Medellín

New
Junior 🇬🇧 English
Microsoft Excel SAP Oracle Business Central

Job description

About the role

AJC International is looking for a motivated Treasury Analyst to support global treasury operations across multiple regions. The role offers hands‑on exposure to cash management, foreign‑exchange risk, liquidity planning and treasury reporting in a fast‑paced, multinational environment.

Key responsibilities

  • Execute daily global cash management activities, including cash positioning, electronic payments and bank reconciliations.
  • Support liquidity planning, corporate credit facilities, debt activity and prepare treasury‑related journal entries.
  • Perform foreign‑exchange hedging transactions, monitor positions and prepare FX exposure reports.
  • Prepare regular treasury and finance reports, assist with forecasting, cash‑flow analysis and ad‑hoc financial projects.
  • Contribute to process‑improvement initiatives and treasury technology enhancements.

Required profile

  • Bachelor’s degree in Finance, Accounting, Economics or related field.
  • 0–2 years of experience in treasury, accounting, finance or banking.
  • Strong analytical, problem‑solving and communication skills.
  • Highly detail‑oriented with ability to manage multiple priorities.
  • Professionalism and ability to handle confidential information.

Required skills

  • Intermediate to advanced Microsoft Excel.
  • Familiarity with ERP systems such as SAP, Oracle or Business Central.
  • Exposure to treasury management systems and financial reporting tools.

Questions fréquentes

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Published 18 hours ago

Expires 1 month from now

6 views · 0 interested

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AJC Group

Medellín