๐ Madrid / Hybrid
๐ Internship โ Minimum 6 months
Playtomic is the worldโs leading platform for racket sports, connecting millions of players with clubs and courts around the globe. Our app allows players to book courts, join matches, meet new players, improve their level and enjoy the social side of sport.
This is a great opportunity for someone early in their career who wants to learn fast, take initiative and contribute creatively in a fast-growing tech company.
Your responsibilities will include:
Support the Daily Cash Balance process across all entities, ensuring accurate visibility of our global cash position
Assist with operational payments to suppliers and clubs, making sure everything is executed on time and correctly reconciled
Help identify, design, and implement automations to streamline treasury processes and reduce manual work.
Contribute to the integration of AI tools into the department, exploring new ways to improve reporting, forecasting, and daily operations.
Join meetings with external stakeholders such as banks, payment providers, and other financial partners, and help prepare the materials needed for them.
Support the optimization of our current cash pooling structure, analyzing flows between entities and proposing improvements.
Help maintain and improve internal treasury documentation, dashboards, and trackers.
Support month-end treasury reporting (cashflow reporting)
Collaborate cross-functionally with Accounting, Billing, and Operations on ad-hoc projects
You will be part of the treasury team
You are currently studying or recently graduated in Finance, Economics, Business Administration, Accounting, or a related field
You have a genuine interest in treasury, cash management, banking, and financial operations
You are curious about automation and AI, and excited about applying them to real finance problems
Basic knowledge of Excel (formulas, pivot tables, basic data handling)
You are organized, detail-oriented, and able to manage multiple tasks and deadlines
You have a proactive mindset and enjoy taking ownership of your projects
You're analytical and comfortable working with numbers and data
You communicate clearly in English, both written and spoken. Spanish and other languages are a bonus!
Based in Madrid
Understanding of cashflow and financial reports (P&L, cashflow statement, balance sheet)
Previous experience or exposure to a Treasury Management System (TMS)
Any experience with ERPs, banking platforms, Power BI, Python, or automation tools
Last, and for you to start warming up, we want to show you what our process looks like:
Technical Interview with Senior Treasury Manager
People Interview - first contact to assess experience and culture fit