Corporate Treasury (Debt & Derivatives) – Milan
- Pubblicato il 18/06/2026
- Milano (MI)
- Da definire
Descrizione:
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 and derivatives.
This is not a back-office role.
You’ll join a lean central team at HQ, working directly on funding and financial risk decisions, with real visibility and impact across the group.
If you’re looking for a role where you learn fast, take responsibility early, and operate close to decision-makers, this is worth a conversation.
What you’ll be exposed to:
Debt and funding activities (banks and capital markets)
Financial risk management (FX, interest rates, derivatives)
Interaction with senior internal and external stakeholders
A centralised treasury model with international scope
We’re interested in people who:
Have ~4–8 years’ experience in treasury / financial markets within listed companies
Bring exposure to derivatives and/or debt
Are comfortable in an international environment
Show energy, curiosity, and a hands-on mindset
Fluency in both Italian and English is required
Base gross annual salary (RAL) starting from € 60,000.
The company offers a competitive overall package; final salary may be higher, based on experience and profile.
The package includes a variable component and a comprehensive benefits offering, in line with company policies.
Work location: Milan
Ref.: VF #56209