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AirbusOrt
ToulouseCorporate Finance Operations & Group Liquidity Specialist (m/f), Toulouse
Unbefristeter Arbeitsvertrag
Finanzen, Controlling, Buchhaltung, Audit
Die Stellenanzeige wurde am 24/08/2017 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 & accountabilities
- Manage the day to day assistance to Airbus entities, resolve or delegate incoming queries from the Entities.
- Operation of daily cash pooling.
- Support on C.F. Operations RfPs and RfIs processes.
- Assist on new Group Entity adhesion to Corporate Finance processes and compliance.
- Be part on the operational implementation process of cash pooling structures following Group needs.
- Execute Treasury payments.
- Reconcile and supervise Airbus Corporate Finance bank accounts.
- Manage transaction settlement (FX, Money Market, derivatives, securities…)
- Control System referential, Bank conditions, bank interest scales and fees including reconciliation.
- Develop SWIFT network
- Confirm payments
- Support and develop all Corporate Finance Operations & Group Liquidity related tasks if needed
- Be a privileged interlocutor to deal with banks and daily activities and manage contentions.
- Gain understanding of the technical and functional linkages to the existing IT landscape.
- Prepare and verify of daily, weekly and monthly reports and analyses.
- Take part in Team related projects when required.
- Propose continuous process improvement.
- Support the generation and maintenance of internal documentation.
Required skills
- Graduate degree in finance and/or strong experience in banking operations department or international corporate treasury.
- A deep understanding of settlement and payment processes is required.
- Experienced in financial instruments (forex, loans and borrowings, derivatives, securities) as well as domestic and international cash management.
- Knowledge on Corporate Finance Operations processes and compliance.
- Good capabilities concerning Information Systems, experience with Swift.
- Good ability to work in a demanding environment
- Rigorous
- Sense of pro-activity,
- Strong team player
- Ability to manage issues to the end,
- Comfortable with social contacts
- Strong communicator
- Client service-orientated
- At least a negotiation level in English is mandatory (written and spoken) and proficiency in a second language like German, French or Spanish is required.
Apply
Die Stellenanzeige wurde am 24/08/2017 archiviert.
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