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Treasury Associate/Senior Associate

Employer
Michael Page
Location
Paris, France
Salary
Selon profil
Closing date
Oct 25, 2024
View more categoriesView less categories
Job Function
Other
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
À propos de notre client
The company is a leading player within the region's Financial Services space with a Multi-Billion $ AUM and are backed by some of the world's largest Sovereign Wealth Funds.

Description du poste
  • Monitor daily cash flow and cash positions to ensure there is sufficient liquidity to meet operational requirements.
  • Develop and maintain cash forecasting models to predict future cash needs and support decision making.
  • Assist in executing different type of payments (wire transfers, ACH payments, and other financial transactions) and reconcile bank accounts.
  • Maintain bank account information and signatory lists, including online banking/TMS user list.
  • Ensure compliance with relevant financial regulations and internal policies and procedures.
  • Prepare and ensure completeness of management reporting suite (cash, forecast, counterparty exposures, FX exposures, and others)
  • Ensure timely placement and settlement (including matching and confirmation) for cash investments (e.g. Term Deposits) or FX/IR related trades
  • Assist in managing relationships with banks and financial institutions to optimize banking services and minimize costs.
  • Drive cash optimization initiatives, including design and implementation of cash pooling structures
  • Support Treasury Front Office and Fund Finance operations team.
  • Assist in the development and implementation of Finance and Treasury policies and procedures as appropriate.
  • Support in the scoping and implementation of various treasury systems (e.g. TMS).


Profil recherché
  • 3-7 years of relevant work experience, with at least 3 years in a similar specialist role - banking, private equity, investment management background
  • Bachelor's degree is mandatory + certifications in Finance or Accountancy are preferred
  • Excellent quantitative, analytical and presentation skills including the ability to build detailed financial and cashflow models and Power BI reports
  • Strong understanding of financial structuring, financial products, cash management and financial risk management.
  • Excellent technical understanding of global payments systems (e.g. SWIFT etc.) and bank counterparty payment processes
  • Experience with treasury/finance software, FX/MMF dealing platforms and programs


Conditions et Avantages
  • Tax-free package (base + bonus + other benefits)
  • Opportunity to be part of a top Multi-Billion $ Investment Manager

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