Junior Cash Analyst

  • Full-time

Company Description

Company Description

Founded in 2012, AUTO1 Group is now Europe’s leading car trading platform. As an independent multi-brand platform, AUTO1 Group is aimed primarily at the used car trade and offers over 60,000 professional partners the opportunity to access a diversified portfolio of more than 30,000 vehicles. By connecting buyers and sellers through technology the company enables dealers and consumers to trade seamlessly throughout Europe.

For more information please visit www.auto1-group.com

We offer:

  • Work in a dynamically developing international company in the automotive industry
  • A regular employment contract with a highly competitive fixed salary
  • Openness to the implementation of new ideas to improve the company's operation
  • Friendly working atmosphere in a team focused on cooperation
  • Excellent professional development opportunities in a dynamic environment.

Job Description

As a Junior Treasury Analyst, you will support the Treasury team with daily cash management, payments, bank account administration and reporting activities. You will work closely with internal teams and banking partners to ensure smooth and accurate treasury operations.

Main Duties:

  • Handle daily payments and cash transfers, ensuring transactions are processed accurately and on time.
  • Monitor cash movements and support the efficient management of the company's available cash.
  • Provide payment confirmations to internal and external stakeholders and communicate with banks when proofs or corrections are needed.
  • Manage the Cash Management mailbox and follow up on payment-related requests.
  • Support bank account administration, including KYC, AML and other banking documentation.
  • Prepare daily and monthly cash reports and provide relevant information to management when needed.
  • Manage user access to banking and other relevant financial platforms.
  • Work with internal Tech teams to improve and streamline cash management processes.
  • Support foreign exchange activities, including executing FX transactions for non-EUR payments and communicating settlement instructions to banks.
  • Support the team in monitoring and managing foreign exchange-related risks and processes.
  • Work closely with internal teams and external banking partners to ensure smooth and efficient Treasury operations.

Qualifications

Qualifications:

  • Bachelor's degree in Finance, Accounting, Economics, Business Administration or a related field.
  • Good knowledge of Microsoft Excel.
  • Interest in Treasury, Cash Management or financial operations.
  • Experience with financial software, ERP or treasury management systems is a plus.
  • Good analytical and organizational skills.
  • Good communication skills and the ability to collaborate effectively with internal teams and external partners.
  • Good command of English.

Additional Information

Additional information

The place of work will be at the headquarters of AUTO1 Group,Kompleksi E88, Rruga Dritan Hoxha, Laprakë, Tirana and the shifts provide a total of 40 hours per week, from Monday to Friday.
If you think you are the right candidate please apply by uploading your CV.
Email: [email protected]
Phone Number: +355 67 503 9121

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