Role PurposeThe role supports the Treasury team in managing and consolidating large financial datasets related to cash flow reporting and treasury activities.The initial phase of the role will focus on data preparation, validation, and reporting support, with progressive exposure to analytical activities and treasury projects over time.Key Responsibilities- Prepare, consolidate and validate large cash-flow datasets from multiple sources.- Support the preparation of treasury and cash-flow reports for internal stakeholders.- Maintain and update reporting files ensuring data accuracy and consistency.- Support monitoring of cash-flow performance versus forecast.- Collaborate with Corporate Reporting, Treasury, Accounting and IT teams to gather and structure financial data.- Contribute to the improvement and automation of reporting processes.Requirements- Degree in Finance, Economics, Accounting or related fields.- Experience handling large datasets, preferably in finance-related contexts.- Good Excel skills (pivot tables, lookups, data handling).- Fluent English (daily working language).- Strong attention to detail, numerical mindset, and willingness to learn.- Ability to work in international and cross-functional environments.LocationPadova (primary location) with weekly presence in Vittorio Veneto and hybrid flexibility.Growth OpportunityThis role is ideal for high-potential early career professionals looking to build a long-term career in Finance & Treasury.