INTERNSHIP DETAILS

INTERNSHIP - ASSISTANT TREASURER - NYON

CompanyKepler Cheuvreux
LocationNyon
Work ModeOn Site
PostedJanuary 9, 2026
Internship Information
Core Responsibilities
The Assistant Treasurer will assist in daily treasury operations, including liquidity position analysis and communication with banks. Additionally, the role involves cash forecasting, reporting, and collaboration with finance and accounting teams.
Internship Type
intern
Company Size
855
Visa Sponsorship
No
Language
English
Working Hours
40 hours
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About The Company
Kepler Cheuvreux is a leading independent European financial services company that specialises in Research, Execution, Fixed Income and Credit, Structured Solutions, Corporate Finance, and Asset Management. The Group employs over 650 people and is present in 14 major financial centres in Europe, the US and the Middle East: Amsterdam, Brussels, Dubai (DIFC), Frankfurt, Geneva, London, Madrid, Milan, New York, Oslo, Paris, Stockholm, Warsaw, and Zurich. Group key figures: * 1st independent European equity broker. * 1st Equity Research coverage in Continental Europe. * 1st Country Broker and Research (Extel 2025). * 14 major financial centres in Europe, US and the Middle East. * 650+ employees. * 1,300+ institutional clients.
About the Role
<p><strong>DETAILS:</strong></p><ul><li><p><strong>Role:</strong> Assistant Treasurer&nbsp;</p></li><li><p><strong>Department: </strong>Finance Treasury&nbsp;</p></li><li><p><strong>Duration: </strong>6 months</p></li><li><p><strong>Start Date: </strong>&nbsp;March 2026</p></li><li><p><strong>Location:</strong> Nyon</p></li><li><p><strong>Salary:</strong> As per Kepler Cheuvreux’ s policy</p></li></ul><p><strong><br>KEPLER CHEUVREUX:</strong></p><p>Kepler Cheuvreux is a leading independent European financial services company that specialises in Research, Execution, Fixed Income and Credit, Structured Solutions, Corporate Finance, and Asset Management.</p><p>The Group employs around 650 people and is present in 14 major financial centres in Europe, the US and the Middle East: Amsterdam, Brussels, Dubai (DIFC), Frankfurt, Geneva, London, Madrid, Milan, New York, Oslo, Paris, Stockholm, Warsaw, and Zurich.</p><p>Group key figures:</p><ul><li><p>1st independent European equity broker.</p></li><li><p>1st Equity Research coverage in Continental Europe.</p></li><li><p>1st Country Broker and Research (Extel 2025).</p></li><li><p>14 major financial centres in Europe, US and the Middle East.</p></li><li><p>+650 employees.</p></li><li><p>+1,300 institutional clients</p></li></ul><p></p><hr><p><strong>YOUR TASK:</strong></p><p>Daily Treasury Operations</p><ul><li><p>Assist in the preparation and analysis of the daily liquidity position.</p></li><li><p>Support communications with banks regarding payments, cash positions, and other transactions.</p></li><li><p>Update forecasts based on incoming and outgoing cash flows.</p></li><li><p>Monitor and support the execution of treasury wires, margin calls, and intercompany cash pooling.</p></li><li><p>Assist in the management of daily foreign exchange (FX) requirements.</p></li></ul><p><br></p><p>Cash Forecasting &amp; Planning</p><ul><li><p>Support the preparation and consolidation of monthly cash forecasts in collaboration with subsidiaries and branches.</p></li><li><p>Ensure timely upload of forecast data into the TMS - Kyriba.</p></li><li><p>Analyze variances between forecast and actuals and suggest improvements.</p></li></ul><p><br></p><p>Reporting &amp; Analysis</p><ul><li><p>Prepare and deliver daily liquidity reports.</p></li><li><p>Support the development and automation of treasury reports.</p></li><li><p>Assist in documenting treasury processes and controls.</p></li></ul><p><br></p><p>Support to Finance &amp; Accounting</p><ul><li><p>Collaborate with the Finance and Accounting teams on cross-functional projects.</p></li><li><p>Assist in bank reconciliations, journal entries, or treasury-related financial tasks as needed.</p></li><li><p>Contribute to month-end and quarter-end treasury closing activities.</p></li></ul><p></p><p><strong>YOUR PROFILE:</strong></p><ul><li><p>Currently pursuing a degree in Finance, Accounting, Economics, or a related field.</p></li><li><p>Basic understanding of Corporate Finance and Treasury operations.</p></li><li><p>Proficiency in Microsoft Excel; experience with TMS (e.g., Kyriba) is a plus.</p></li><li><p>Strong analytical and organizational skills.</p></li><li><p>Good interpersonal skills and ability to work in a multicultural environment.</p></li><li><p>Fluent in English; French is a plus.</p></li></ul><p></p><hr><p><strong>RECRUITMENT PROCESS:</strong></p><p>Between 2 and 3 rounds of interviews: both fit and technical questions.</p><p>You will need a flexible and creative approach in order to flourish in our international environment and succeed with our diverse client base. If you possess these qualities and would like to be part of Kepler Cheuvreux’s story, then come and join us!</p>
Key Skills
FinanceTreasury OperationsCash ForecastingReportingAnalysisMicrosoft ExcelTMSAnalytical SkillsOrganizational SkillsInterpersonal SkillsMulticultural EnvironmentEnglishFrench
Categories
Finance & Accounting