Treasury Operations Intern
Listed on 2026-03-11
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Finance & Banking
Financial Analyst, Corporate Finance
The internship experience will provide a best-in-class learning opportunity for interns interested in pursuing careers in Treasury operations and Corporate Finance. This ten-week program will provide an opportunity to learn how the Treasury discipline aids in the successful management of a company’s assets. The program will offer an opportunity to learn more about treasury management, cash forecasting, debt capital markets, and investing strategies.
The internship will include group work, project-based assignments, virtual and in‑person training and sessions on a number of topics that are intended to help interns become exposed to the tremendous opportunities in the industry.
Chicago, IL (Anticipate four days a week in the office)
Qualifications- Currently pursuing a degree in Finance, Accounting, Economics, Risk Management & Insurance, or a related Business field.
- Preferred graduation dates:
December 2026, May 2027, December 2027, or May 2028 - Experience using Microsoft Office (specifically Excel, PowerPoint, Word); familiarity with Bloomberg is a plus
- Ability to commute to the Chicago office located downtown in the Loop
- Learn processes and procedures of organization and related to the insurance industry.
- Engage and collaborate on projects related to various types of Treasury deliverables for a publicly traded company.
- Gain analytical, technical, and decision‑making skills through formal and informal learning opportunities.
- Network with leaders and other interns to develop professional connections.
- Learn best in class cash management strategies which are utilized by publicly traded companies.
- Develop treasury reporting which will be used by treasury management.
- Assist with short term investment planning and execution.
- Aid in the creation of detailed procedure manuals and process maps of treasury activities.
- Work on cross functional activities which will enhance understanding of treasury’s role in an organization.
- Participate in meetings with various large banking partners.
- Aid in the maintenance the Kyriba treasury management system.
- Assist with global cash reporting and cash forecasting.
- Assist with other projects as assigned.
- Excellent organizational skills.
- Demonstrated ability to communicate verbally and in writing throughout all levels of the organization, both internally and externally and to develop and maintain strong business relationships.
- Proficient use of Excel, Word, and PowerPoint.
- Ability to work in a team environment as well as independently.
- Ability to analyze and prioritize multiple responsibilities.
- Analytical and problem‑solving skills, including research and investigation.
- Ability to apply independent, critical thinking but also to follow instructions and take direction.
- Hands‑on experience in a dynamic and collaborative environment.
- Opportunities to learn from experienced professionals in the industry.
$25 per hour
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