OBS! Ansökningsperioden för denna annonsen har
passerat.
Arbetsbeskrivning
Are you interested in learning about a payments industry in transition and how a large multinational corporate works to future proof its payments infrastructure?
Do you like working with data, processes, and people?
Do you want to work 2-3 days per week combined with your studies?
Great – We have the perfect internship for you at Volvo Group Treasury!
What we offer you
You will get hands-on insights into global Treasury operations in a multinational corporation. You will be assigned concrete challenges whereof some you will take on the full responsibility and for others working together on existing projects with the rest of team. You will propose and implement new solutions. You will support with administration of ongoing implementation projects. We hope to learn from each other and develop together.
Where you fit in
Cash Management is a global team of four persons within Treasury Operations and Digitalization (TO&D). We work closely with stakeholders all over the Volvo Group and with our banking partners.
Cash Management responsibility is to ensure a secure and efficient payment infrastructure enabling future development of the Volvo Group offering.
Who you are
You are a team player who embraces taking on challenges with a clear sense of responsibility. You have an open and collaborative attitude with a solution mindset. You are visionary and you get things done!
You are in your first or second year of studies.
You can commit to 2-3 days of work per week during spring 2023, with flexibility around studies/exams. (Possibility for extension exist if we are a good match.)
You also probably have these qualifications
Min 1 year University studies with Finance.
Good understanding and interest in data management
Communicative
Ability to work in a team as well as independently
Structured and responsible
Interest in financial markets
Fluent, verbal as well as written, in Swedish and English.
What we do
Group Treasury is a global function within Group Finance. Our mission is to secure the Group’s payment capability and proactively manage financial risks. Responsibilities include Group funding, liquidity management, FX operations, Group capital structure, rating analysis, financial infrastructure, and adherence to Volvo Group Financial Risk Policy. We work closely with many stakeholders both within and outside the Volvo Group globally.
We strive to deliver world class PERFORMANCE both hard and soft, and to earn TRUST from colleagues and stakeholders. CUSTOMER SUCCESS is guiding us in our decisions. We have fun at work, PASSION for what we do, and we CHANGE to stay ahead by continuously improving every day.
The position is based in Gothenburg.
Curious, and have some questions?
Please contact Volvo Group Treasury, Karin Heltborg, +46(0)702 986760, karin.heltborg@volvo.com or Malin Löfgren, +46 (0)761 362322, malin.lofgren@volvo.com
Kindly note that due to GDPR, we will not accept applications via mail. Please use our career site.