Our client is a global contract manufacturer serving the Industrial Gas Turbines, Aerospace and Medical Device sectors. They are also a leading producer of industrial coating equipment and a respected player in Additive Manufacturing. The Group
A leading luxury fashion company based in Milan is seeking an experienced Treasury Manager to manage and optimize FX hedging activities. The role involves ensuring regulatory compliance, financial accounting, and improving treasury processes across the Group. Candidates must have
Overview & Responsibilities IDLO INTERNSHIP PROGRAM IDLO internship programs are designed to provide a mutually beneficial relationship between IDLO and university students, young graduates, post-graduate students, or persons similarly situated (collectively referred to as Interns). IDLO
A luxury fashion company based in Milan is seeking a Treasury Manager to lead FX hedging activities and ensure regulatory compliance. The role involves managing cash flow and enhancing financial risk control within the treasury function. The ideal candidate
Fedrigoni Group in Milan is seeking a Treasury Analyst to manage day-to-day treasury operations and monitor liquidity stability. The ideal candidate will have 3-5 years of experience in multinational environments, be proficient in Treasury Management Systems like Kyriba, and
Experteer Italy is seeking a Treasury Manager to lead FX hedging and improve treasury processes within a multinational context. You will manage risk control, enhance cash flow visibility, and ensure compliance with regulations.Your role includes collaborating with auditors and
Dedalus Spa is looking for a Group Treasury Senior Specialist in Milan. The role focuses on Treasury analytics, risk management, and reporting. You will manage FX and interest rate exposures, contribute to the redesign of Treasury processes, and support the
NHOA Group seeks a skilled Treasury Manager to join their team in Milan. This role focuses on effective cash management, financial risk mitigation, and overseeing treasury operations.You will prepare financial reports, coordinate with Corporate Treasury, and manage relationships with
NHOA Group is seeking a structured and proactive Treasury Manager to join its Treasury team in Milan. This role involves managing cash flow reporting, coordinating with Corporate Treasury, and overseeing payment activities.The ideal candidate holds a Bachelor’s or Master’s
Prometeia cerca un professionista per la gestione della tesoreria e contabilità bancaria, con sede a Bologna. Il candidato ideale avrà 7-10 anni di esperienza nel ruolo, preferibilmente in aziende medio-grandi o società di consulenza, e una
Seres Partners s.r.l. is seeking a Financial Risk Treasurer to analyze and execute hedging strategies across foreign exchange, interest rates, and commodity markets. This role will be instrumental as the key advisor on strategic risk management
Seres Partners s.r.l. is seeking a Financial Risk Treasurer to analyze and execute hedging strategies across foreign exchange, interest rates, and commodity markets. This role will be instrumental as the key advisor on strategic risk management
A global industrial solutions provider based in Bologna is seeking a Trade & Treasury Service Analyst with 1-2 years of experience. This role focuses on treasury operations, trade and export finance, and requires a solid understanding of financial
Corporate Treasury (Debt & Derivatives) – Milan High exposure role in a central treasury team at the heart of group financial strategy. We’re working with a leading international listed group to hire a Corporate Treasury professional focused on debt
Role Overview We are seeking a highly skilled Emerging Markets FX Trader with deep expertise in African/LATAM/Asian currencies to join our global trading & liquidity team. The ideal candidate will have extensive experience managing illiquid and restricted
About the Position We are looking for a Cash Planning Manager to join the Treasury team, reporting directly to the EMEA Treasurer. This position is based at our office in Corbetta (MI). The Cash Planning Manager will
Italdesign is looking for a Treasury Lead to join the Finance Team. The ideal candidate is a structured, analytical and proactive professional with strong financial expertise, capable of managing liquidity, financial risks and banking relationships in a
Role OverviewWe are seeking a highly skilled Emerging Markets FX Trader with deep expertise in African/LATAM/Asian currencies to join our global trading & liquidity team. The ideal candidate will have extensive experience managing illiquid and restricted FX markets,
Job OverviewGroup Treasury Senior Specialist focusing on Treasury analytics, risk & reporting. Responsible for FX and interest rate exposure management, hedge accounting processes, and Treasury reporting within a centralized, international Treasury function. Contributes to the redesign and stabilization of Treasury risk and
Role Overview We are seeking a highly skilled Emerging Markets FX Trader with deep expertise in African/LATAM/Asian currencies to join our global trading & liquidity team. The ideal candidate will have extensive experience managing illiquid and restricted