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About Jumia:
Jumia is a leading pan-African e-commerce platform. Its mission is to improve the quality of everyday life in Africa by leveraging technology to deliver innovative, convenient and affordable online services to customers, while helping businesses grow as they use Jumia's platform to better reach and serve customers.
Jumia is built around a marketplace and supported by a proprietary logistics business [Jumia Logistics] and a digital payment and fintech platform [Jumia Pay]. With over 3,000 employees, Jumia is led by top talented leaders offering a great mix of local and international talents and is backed by very high-profile shareholders. Jumia is committed to creating a sustainable impact in Africa.
In April 2019, Jumia was the first Tech company in Africa to be listed on the New York Stock Exchange.
Treasury Controlling Intern
Are you eager to learn and gain hands-on experience in a fast-paced, multicultural environment?
Do you have a passion for finance and problem-solving?
If you're proactive, solution-driven, and excited to make an impact in an innovative company operating across multiple African markets, we want to hear from you!
Assisting in forecasting and monitoring cash flows to support accurate financial planning and ensure liquidity management.
Supporting effective cash flow controls while developing an understanding of diverse financial landscapes.
Contributing to the preparation of detailed cash position reports.
Tracking and analyzing payment data to ensure compliance with internal controls and financial regulations.
Collaborating with finance and operational teams to address treasury-related inquiries and enhance financial processes.
Educational background or studies in Corporate Treasury, Finance, or a related field.
Strong analytical and problem-solving skills, with a keen interest in corporate treasury, financial controlling, and reporting.
Detail-oriented mindset with the ability to execute tasks accurately and precisely.
A proactive and hands-on attitude, eager to explore the analytical side of finance.
Ability to work independently while effectively collaborating within a team.
Fluency in English, both written and spoken.
Experience in an administrative role, especially in cash reporting, forecasting, corporate treasury, or financial markets.
Proficiency in French or German.
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