The Corporate Treasury & Energy team advises clients on strategic Treasury structuring and optimization, with expertise in market risk management and complex financial instruments
Job Summary
The Corporate Treasury & Energy team advises clients on strategic Treasury structuring and optimization, with expertise in market risk management and complex financial instruments.
Responsibilities include analyzing market risks (FX, commodities, rates), defining management policies, rationalizing financial statement impacts, and participating in IFRS transition projects.
The role offers flexibility with a FlexWork charter, international mobility opportunities, and comprehensive development programs focused on future skills like ESG and technology.
Matching Summary
The Corporate Treasury & Energy team advises clients on strategic Treasury structuring and optimization, with expertise in market risk management and complex financial instruments.
Skills & Requirements
Must-have
market risk management
financial instrument accounting
IFRS9 transition projects
energy transition advisory
cash management processes
Nice-to-have
strong analytical skills
team spirit
interpersonal skills
curious and proactive
Key Requirements
3-5 years experience
Finance or Audit specialization
Market risk or financial instrument accounting expertise