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The Corporate Treasury function offers a collaborative and global environment focused on operational excellence and strong financial controls. We are seeking a motivated and detail-oriented Financial Analyst to support treasury operational activities within Treasury Services & Solutions (TSS), based in the GBS+ Krakow organization and reporting to Corporate Treasury. This role provides hands-on exposure to core treasury operations and close partnership with Corporate Treasury. The Financial Analyst will support the execution of treasury operational activities that have been approved by Corporate Treasury or delegated for execution. This role will perform day-to-day treasury operations, help ensure accurate and timely processing, and maintain compliance with established procedures and controls. The analyst will work closely with the TSS Treasury Operations Manager and Corporate Treasury stakeholders, escalating questions and exceptions as needed.
Job Responsibility:
Support execution of approved treasury operational activities in accordance with established policies, procedures, and controls
Perform and/or support operational tasks across treasury areas such as bank administration support, KYC documentation coordination, treasury payment preparation/execution, bank guarantee administration, and routine treasury reporting
Help ensure completeness, accuracy, and timeliness of operational deliverables, following standard checklists and controls
Maintain appropriate documentation and evidence to support audit and control requirements
Monitor operational queues, follow priorities, and raise issues or exceptions to the Treasury Operations Manager when identified
Partner with the TSS Treasury Operations Manager to support service delivery, issue resolution, and process improvements
Participate in knowledge transfer, process documentation, and continuous improvement initiatives
Requirements:
Bachelor's degree in Finance, Accounting, Business, or a related discipline
3 years of experience in treasury operations, banking back-office, or related financial operations roles
Strong written and verbal communication skills in English
Experience in bank back-office operations or treasury operations functions
Strong understanding of operational controls and execution discipline
High attention to detail with strong organizational and time management skills
Ability to work effectively in a process-driven, high-volume operational environment
Experience supporting global or regional financial operations in a multinational environment.
What we offer:
Competitive Compensation: Attractive salary (Base pay & Variable Plan) and benefits package (private medical care, life insurance, stock purchase, lunch subsidy, sport cards)
Work-Life Balance: Flexible working arrangements with hybrid model of work (approx. 60% from the office and 40% from home)
Matrix Organization: Thrive in our matrix organization, working across Europe with various teams and cultural backgrounds
Collaborative Environment: Strong teamwork and diverse interactions
Development Opportunities: Personalized plans with rapid progression
Versatile Career Paths: Professional growth supported by active committee for different career levels
Supportive Culture: High employee satisfaction and responsive feedback
Learning and Innovation: Continuous learning and technical training incl. subject matter experts’ trainings, soft skills and management trainings and LinkedIn learning
Relocation Support: Assistance for international candidates and candidates living outside of Krakow
Social events such as family events and charity auctions
Comfortable working environment (Library, relaxation area, casual dress code)