Treasury & Forex Intern
About this internship
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Skills you'll use
What you'll do
- Support liquidity tracking, FX exposure monitoring and money-market reporting alongside the core financial technology team
- Work in Excel and internal systems on live financial data
- Prepare schedules, reconciliations and reports for senior review
- Research companies, customers, products or regulations as required
- Present analysis clearly in notes and decks for stakeholders
- Follow documentation and control standards required in a regulated business
Who can apply
- Pursuing or recently completed MBA (Finance)/M.Com/B.Com/CFA L1/Economics — 2026 freshers & final-year students welcome
- Working knowledge of Treasury Operations, Foreign Exchange, Money Markets (or a genuine willingness to learn them)
- Strong numerical ability and comfort working in MS Excel
- Care with detail and the discipline to document work properly
- Clear written and verbal communication in English
- Based in or willing to work from Gurugram, Haryana
Perks & benefits
Interview & selection process
4 rounds — typical selection flow for this role:
- 1Application screening & resume shortlisting by the talent team
- 2Excel / case-study exercise with a short walkthrough
- 3Discussion with the hiring manager on the function and your fit
- 4HR discussion — stipend, start date, expectations and offer
About Fiserv
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