ATR - Head of Treasury & Cash Forecast (m/f/d), Toulouse

Airbus

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ATR - Head of Treasury & Cash Forecast (m/f/d), Toulouse

Praktikum / Werkstudent
Luft- und Raumfahrt
Controlling / Finanzen
Die Stellenanzeige wurde am 21/08/2025 archiviert.
 

Airbus

Airbus pioneers sustainable aerospace for a safe and united world. The Company constantly innovates to provide efficient and technologically-advanced solutions in aerospace, defence, and connected services. In commercial aircraft, Airbus offers modern and fuel-efficient airliners and associated services. Airbus is also a European leader in defence and security and one of the world's leading space businesses. In helicopters, Airbus provides the most efficient civil and military rotorcraft solutions and services worldwide.

Tasks

Oversee Cash Management

  • Drive and exploit cash flow improvements to ensure cash pooling and cash concentration operations, planned and executed accordingly.
  • Plan liquidity needs by currency and maturity for each entity of ATR group.
  • Provide advice on financial matters impacting on the company as a whole
  • Negotiate loan, bank and service fees.
  • Coordination of Treasury Management Systems for the whole ATR Group.
  • Set up Treasury agreements between entities
  • Grant Internal control and bank regulation compliance

Treasury Analysis and Forecast

  • Responsible of weekly, quarterly and budget liquidity forecasting.
  • Provide analyses of differences between forecasts and actual in order to drive actions to meet corporate objectives
  • Follow up and analysis of bank balances for ATR and subsidiaries with the aim of increasing cash at bank profitability.

Monitore & Mitigate Risks: Hedging & Trade finance

  • Lead Hedging committee with Airbus & Leonardo and Manage corporate hedging policy.
  • Assess foreign currency exchange exposure and drive contracting with banks for derivatives.
  • Execute derivatives and ensure appropriate accounting in ATR books.
  • Negotiate, implement and manage trade finance instruments.

Management & Communication

  • Lead a team of 4 people and functional link to treasury team abroad
  • Develop and consolidate cooperation with all ATR banks
  • Maintain Cash Analytics axis in line with P&L view

Profile

  • Degree in Finance, Accounting, or a related field.
  • 10 years Experience in Treasury preferably in a multinational environment
  • Strong knowledge of financial instruments, cash pooling, and regulatory requirements.
  • Proficiency in treasury systems (FIS, SAP) and advanced Excel skills.
  • Excellent communication skills, leadership, and the ability to work cross-functionally
  • Fluent in English and French

Apply

Die Stellenanzeige wurde am 21/08/2025 archiviert.

 
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