Oversee the implementation of the financial policy of the group, maintain an accurate and up to date long term financing plan for the Group, and monitor the foreign exchange, interest rate, equity and commodities risks
Job Summary
Oversee the implementation of the financial policy of the group, maintain an accurate and up to date long term financing plan for the Group, and monitor the foreign exchange, interest rate, equity and commodities risks.
Prepare, structure, and execute debt issuance (short and long term) and provide precise monitoring of financial market ‘conditions’ and new products development.
We offer you an outstanding and collaborative workplace that embodies our sharing & conviviality culture, the possibility to work from home (2 days a week), a very complete mutual insurance, an attractive compensation including profit-sharing, the possibility to grow in knowledge and skills on a daily basis, employee events…
Matching Summary
Oversee the implementation of the financial policy of the group, maintain an accurate and up to date long term financing plan for the Group, and monitor the foreign exchange, interest rate, equity and commodities risks.
Skills & Requirements
Must-have
Foreign exchange hedging policy
Debt capital market execution
Financial markets expertise
Nice-to-have
Collaborative workplace
Sharing & conviviality culture
Key Requirements
Masters degree from business school, university or engineering school
4/5 years + experience in investment bank or corporate treasury
Knowledge of treasury management systems (Kyriba), Bloomberg Reuters