Job Description
Our client is an international group listed on the stock exchange, active in 47 countries with more than 4 billion Euros turnover.
To support its growth, we are looking for a Treasury Analyst (M/F) to join its global Treasury department in Luxembourg. Working closely with the Group Treasury Operations Manager, your main responsibilities will be:
- Follow up and oversight of treasury operations, including liquidity management, intercompany financing and closing activities;
- Strong support on treasury projects: security of cash, RFPs, cash pool implementation, project management;
- Assist the team on key financing project, either for external fund raising (bonds, commercial paper, bank debt, real estate financing) or internal funding management;
- To be a key point of contact with the subsidiaries on treasury matters.
Profile:
- Master’s degree in Treasury or Corporate Finance;
- A first similar experience of at least one year (long internship or VIE in cash management or financing could be considered);
- Project and detail-oriented, proactive, entrepreneur mindset, with strong organizational and analytical skills;
- Fluency in English. Any other language will be considered as a strong advantage.
Should you be interested in this opportunity, please send your application to Charline Leroy quoting the reference LU783795.
