Treasury Analyst
il y a 1 semaine
**What you will do**
As Treasury Analyst you will be responsible for all Treasury Operations related to the financial market transactions executed by JCI’s Global Financial Risk Management Group, the Company’s Global cross-currency notional cash-pool and the daily cash and liquidity management worldwide. These financial market transactions include but are not limited to Foreign Exchange Derivatives, Commodity Derivatives, Interest Rate Derivatives, bank loans & deposits as well as Commercial Paper Issuances.
**How you will do it**
- Handle electronic confirmation of external Foreign Exchange Spot, Forward and Swap Transactions as well as ECP issuances.
- Lead manual confirmation process for external Foreign Exchange Option Transactions, bank loans & deposits, Commodity Derivatives, Interest Rate derivatives as well as FX Forward and Swap transactions that are not confirmed automatically via FX-All.
- Lead settlement process for all external and internal derivative transactions, ECP issuances, bank loans and deposits.
- Perform daily bank statements reconciliation process in the Treasury Management System for the treasury bank accounts.
- Administration and settlement of Internal Factoring Program.
- Support the Global cross-currency notional cash-pool in the role of Global Cash-Pool and Netting Coordinator.
- Liaise with notional cash-pool bank on account & payment investigations including compliance and fraud related matters.
- Support Business Units and Tax with audit questions relative to Notional Pool & mechanism.
- Handle Bank account opening and closing process including KYC and Banking Depositary Resolutions.
- Review and approve weekly global Netting cycle/ follow-up on netting settlement issues.
- Review and analyze local cash positions against Business Unit financing requests to adequately optimize local cash balances on a daily basis, ensuring excess cash is concentrated to the global overlay cross-currency notional cash-pool.
- Perform monthly/quarterly clearing between local cash-pools and global notional pool.
- Support Regional bank implementation from a cash management perspective.
- Prepare daily reporting to senior management (CEO/CFO) on the group’s gross and net cash position.
- Prepare and submit monthly Treasury Page to Treasury Leadership, summarizing month-end cash balances across regions and providing insights on material cash balances.
- Handle static data and approval workflows for the Company’s global trade finance platform.
- Reconcile and settle bank guarantee fees for global trade finance programs.
- Support other Regional Treasury Centers.
**What we look for**
- University Master’s Degree with a major in Finance/Economy.
- 2-3 years of working experience, of which 1-2 years in a similar function/role in the back office of a large bank or Treasury Department of a large international company
- Knowledgeable of FX & Commodity Derivative Instruments
- Knowledge of Treasury Systems (Quantum preferred), Payment Factory Systems (Trax preferred), Inter-company Netting and Cash-Pooling
- Poised personality, well organized, conscious, curious, capable of taking initiatives and work in a team based environment
- A results-oriented organizer, able to automate and document processes
- Above average computer skills
- Fluent in English (other languages a plus)
-
Treasury Analyst
il y a 4 jours
Luxembourg Huntsman Temps pleinJob Description: Role Overview: We are looking for a Treasury Analyst to join our EAME Treasury team based in Luxembourg. This position is full-time and reports to our Treasury Manager. Our EAME team is not only responsible for the region’s treasury operations but also is tasked with certain centralized activities. As a Treasury Analyst, you will work on...
-
Treasury Analyst
il y a 2 jours
Luxembourg Huntsman Temps pleinJob Description: Treasury Analyst We are recruiting for a Treasury Analyst to join our EAME Treasury team based in Luxemburg. This position is full time and reports to the Senior Treasury Manager. Our EAME team is not only responsible for the region’s treasury operations, but also is tasked with certain centralized activities. As a Treasury Analyst, you...
-
Treasury Analyst
il y a 2 jours
Luxembourg Nestlé Temps plein**Position Summary** We are seeking a **Treasury Analyst** to join our Cash Management team in Luxembourg. In this role, you will be responsible for daily cash management and reporting, collaborating with colleagues in Luxembourg, our headquarters in Switzerland, and markets across Europe, as well as our banks and treasury service providers. **A day in the...
-
Treasury Analyst
il y a 3 jours
Luxembourg Fyte Temps pleinTo 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...
-
Senior Treasury Analyst
il y a 2 semaines
Luxembourg Nestlé Temps plein**Position Summary** We are seeking a **Senior Treasury Analyst** to join our Cash Management team in Luxembourg. In this role, you will be responsible for daily cash management and reporting, collaborating with colleagues in Luxembourg, our headquarters in Switzerland, and markets across Europe, as well as our banks and treasury service providers. **A day...
-
Treasury Analyst
il y a 5 jours
Luxembourg PICTET Temps plein**Your team**: - The **Pictet Group** is one of the world’s leading independent wealth and asset managers. Founded in 1805 and headquartered in Geneva, Switzerland, the Group is represented at 30 offices in financial centres worldwide, and currently employs over 5200 people. Pictet has been present since 1989 in Luxembourg, where it employs over 700...
-
Treasury Analyst Emeai
il y a 5 jours
Luxembourg Lubrizol Temps pleinLubrizol, a Berkshire Hathaway company, is a technology-driven global company that combines complex, specialty chemicals to optimize the quality, performance and value of customers’ products while reducing their environmental impact. Lubrizol produces and supplies technologies to customers in the global transportation, industrial and consumer markets....
-
Treasury Analyst Emeai
il y a 5 jours
Luxembourg Lubrizol Corporation Temps pleinLubrizol, a Berkshire Hathaway company, is a technology-driven global company that combines complex, specialty chemicals to optimize the quality, performance and value of customers’ products while reducing their environmental impact. Lubrizol produces and supplies technologies to customers in the global transportation, industrial and consumer markets....
-
Senior Treasury Analyst
il y a 4 jours
Luxembourg Eurolux Consulting Temps plein**Job Description**: Our client, a top quality investment firm, is looking to hire a Senior Treasury Analyst with at least 5 years of experience, to manage their treasury function in Luxembourg, working with numerous counterparties and regulators, whilst working closely with colleagues in Luxembourg, London and the USA. In this role, you will work with the...
-
Treasury Analyst
il y a 3 jours
Luxembourg Bank Pictet & Cie (Europe) AG, succursale de Luxembourg Temps pleinPictet is an investment-led service company, offering wealth management, asset management and related services. We are an independent investment partnership known for our long-term mindset, responsible approach to business and entrepreneurial spirit. These principles have defined us since 1805. For our clients, colleagues, and wider society, we always aim...