Your Tasks:
* Collaboration in the creation, adaptation, and optimization of reports
* Preparation of market analyses and reports on interest rate and currency developments
* Support in the maintenance of trading and risk management systems
* Preparation of presentations and decision-making documents for management
* Support of the Treasury Front Office in the daily management of liquidity and cash flows
* Cooperation with internal interfaces such as back office, reporting, and controlling
Your Profile:
* Current studies in economics, ideally with a focus on finance, banking, or treasury
* Interest in financial markets, treasury products, and capital market instruments
* Initial practical experience in finance is an advantage
* Very good MS Office skills, especially Excel and PowerPoint
* Analytical thinking, structured working style, and ability to work in a team
* Willingness and possibility to work regularly in the office in cologne
* Very good written and spoken German and English skills