Michael Page

Infos pratiques

Date d'affichage :
06 décembre 2016

Domaine de l'emploi :
Finance & Accounting

Lieu :
Luxembourg

Group treasury & controlling manager
As a group treasury and controlling manager reporting to the CFO, your main responsibilities will be:
- Creation of all the treasury processes for 3 entities in Europe, Asia and Luxembourg
- Elaborate the Group Financing strategy together with the CFO
- Organize the centralization of the Group cash management: development of a model of cash forecasting / pooling, cash optimization
- Develop the internal and external cash/debt analysis and reporting.
- Assist in managing bank relationships
- FX trading (Spot, Swap, Forward contracts)
- Intercompany loans management and accounting
- Transfer pricing
- Cashflow
- Other ad-hoc projects

Présentation de l'entreprise :

Our client is Private Equity investment fund. To face their growth, our client is actively looking for a Group Consolidation and reporting Manager based in Luxembourg.

Exigences :

- At least 5 years experience in operational company, banking sector or investment funds industry
- Bachelor / Master degree in finance
- Fluent in English, any other language would be considered as an asset
- Soft skills : communication, team player, solution oriented, values