Treasury Middle Office Manager

2 settimane fa


Milan, Italia Euronext A tempo pieno
Treasury Middle Office Manager page is loaded

Treasury Middle Office Manager

Apply

locations

Milan

Amsterdam

Paris

time type

Full time

posted on

Posted 30+ Days Ago

job requisition id

R13997

Euronext Euronext’s purpose is to shape capital markets for future generations. As such, Euronext has a special position in the financial ecosystem. It serves the real economy by bringing together buyers and sellers in transparent, efficient and reliable trading venues. In this key role, Euronext has a responsibility to the whole finance community, not only to ensure financial stability, but to contribute decisively to a sustainable growth model in the countries in which it operates. A central element of Euronext work is engaging with its customers, European and local public authorities, and policymakers, to help shape the regulatory and policy issues that impact the financial sector and empower sustainable finance. Euronext is the leading pan-European market infrastructure, connecting European economies to global capital markets, to accelerate innovation and sustainable growth. It operates regulated exchanges in Belgium, France, Ireland, Italy, the Netherlands, Norway and Portugal. Euronext operates regulated and transparent equity and derivatives markets, one of Europe’s leading electronic fixed income trading markets and is the largest centre for debt and funds listings in the world. Its total product offering includes Equities, FX, Exchange Traded Funds, Warrants & Certificates, Bonds, Derivatives, Commodities and Indices. The Group provides a multi-asset clearing house through Euronext Clearing, and custody and settlement services through Euronext Securities central securities depositories in Denmark, Italy, Norway and Portugal. Euronext also leverages its expertise in running markets by providing technology and managed services to third parties. In addition to its main regulated market, it also operates a number of junior markets, simplifying access to listing for SMEs. Our Finance department Finance supports the Euronext organisation and its management. It is accountable for the accurate financial representation of Euronext

operations. Finance is in charge of keeping the books of the company, produces the budget and forecast as well as all financial indicators necessary for the effective management of the company. The financial information is made available internally (management reporting) and externally (annual report, quarterly communication to the analysts, ..).

Our Finance teams count more than 100 profesionnals across all our locations in Europe Within Finance, the Treasury team plays a central role interacting with internal finance departments including account payables, account receivables, General Ledger, Financial Performance and Analysis and external parties (e.g. financial institutions and external auditors), processing Group payments and managing Group cash position, liquidity, financial debt, financial risks and insurance program. Key accountabilities As Middle Office Manager of the Treasury department of Euronext, you will exert permanent control of all treasury investment transactions, including intercompany transactions, make an ongoing assessment of compliance with Group and local treasury investment policies, and ensure best in class middle office procedures in line with Euronext core model and its Treasury processes. You will be required to make optimal use of the treasury management system and play a key role in implementing the automation of treasury reports, including cash position reconciliation and cash forecast. You will make treasury contributions to the preparation of Euronext financial statements and provide external and internal auditors with relevant information in relation to the control of financial assets and liabilities. You will maintain bank account mandates and act as the main contact person for bank KYC reviews and regulatory reports. Your key responsibilities can embed: Manage the treasury middle office activities in relation to liquidity management, treasury investments, ensuring a pivotal role between front office and back office activities

Contribute to the automation and maintain comprehensive Group treasury reports, including cash position, analysis of cash variations, cash forecast and financial risks reports

Monitor and report limits and counterpart exposures to the Treasurer, Group Finance Directors and relevant Finance Directors on an ongoing basis

Maintain intercompany loan portfolio and provide back office with instructions for timely interest and loan repayments

Assist the Treasurer in defining rules to optimize settlements of intercompany transactions within the Euronext Group and reduce transaction costs

Control interest income on bank balances and treasury investments, including intercompany transactions

Perform month end closing activities and provide back office team with monthly accounting entry schemes as necessary

Monitor subsidiary liquidity to ensure compliance with regulatory requirements and report to the Treasurer and the relevant Finance Directors any situation which may cause liquidity breaches in a timely fashion

Interact with other finance support functions of Euronext, mainly Account Payables, Account Receivables, Group Consolidation and Group Risk & Compliance, (Denmark, Dublin, Milan, Oslo, Paris, Porto, Rome, New-York…), and provide all treasury information required for their activities as necessary

Exert vigilance to Fraud and Cyber risks an maintain awareness through training and learning

Your profile Experience Minimum of 5-8 years of professional experience in Finance in an international and complex/regulated organizations

Knowledge of Treasury, liquidity management, financial risk

Strong experience in performance, risk and KPI analysis, mgt reporting and

presentation/discussion

of data and results

Knowledge of a Treasury Management System is valued, but not mandatory

Education and Knowledge Master’s degree in Finance or equivalent financial background

Comprehensive understanding of financial instruments

Accounting knowledge

Mastering basic reporting tools and reporting automatization (e.g.: excel).

Evolute tools knowledge is a plus (e.g.: PowerBI, Python, etc)

Proven Microsoft office skills, in particular Excel (VBA strongly appreciated) , Microsoft Power BI

Strong team worker, open minded, transparent in communication, high level of cooperation

Ability to maintain a high level of confidentiality, integrity and trust

Able to use fluently spoken and written English as corporate language

Keen on maintaining high level of excellence in providing reliable data with strong attention to details

Process oriented – minded – well organized and able to prioritize as necessary

Highly motivated, proactive and self starter, willing and able to learn, demonstrate initiative

Open to innovation / automation of processes

W e are proud to be an equal opportunity employer. We do not discriminate against individuals on the basis of race, gender, age, citizenship, religion, sexual orientation, gender identity or expression, disability, or any other legally protected factor. We value the unique talents of all our people, who come from diverse backgrounds with different personal experiences and points of view and we are committed to providing an environment of mutual respect. Additional Information

This job description is only describing the main activities within a certain role and is not exhaustive. It does not prevent to add more tasks,

projects.

About Us

Euronext is the leading pan-European market infrastructure, connecting European economies to global capital markets, to accelerate innovation and sustainable growth. It operates regulated exchanges in Belgium, France, Ireland, Italy, the Netherlands, Norway and Portugal. With close to

1,930

listed issuers and around

€6.3

trillion in market capitalisatio

n as of end December 2022, it has an unmatched blue-chip franchise and a strong diverse domestic and international client base. Euronext operates regulated and transparent equity and derivatives markets, one of Europe’s leading electronic fixed income trading markets and is the largest centre for debt and funds listings in the world. Its total product offering includes Equities, FX, Exchange Traded Funds, Warrants & Certificates, Bonds, Derivatives, Commodities and Indices. The Group provides a multi-asset clearing house through Euronext Clearing, and custody and settlement services through Euronext Securities central securities depositories in Denmark, Italy, Norway and Portugal. Euronext also leverages its expertise in running markets by providing technology and managed services to third parties. In addition to its main regulated market, it also operates a number of junior markets, simplifying access to listing for SMEs.

#J-18808-Ljbffr

  • Milan, Italia Euronext A tempo pieno

    EuronextEuronext’s purpose is to shape capital markets for future generations. As such, Euronext has a special position in the financial ecosystem. It serves the real economy by bringing together buyers and sellers in transparent, efficient and reliable trading venues. In this key role, Euronext has a responsibility to the whole finance community, not only...


  • Milan, Italia ATTB IT C2 A tempo pieno

    Risorse Divisione Permanent , specializzata nella Ricerca e Selezione di profili di middle e top management, per importante Società farmaceutica con sede a Milano, ricerca: Treasury Specialist La figura sarà a diretto riporto del CFO e si occuperà di: Gesti

  • Treasury specialist

    1 settimana fa


    Milan, Italia Wyser A tempo pieno

    For our client, group operating in the Energy sector, we are looking for a: Group Treasury Specialist The candidate, reporting directly to the Group Treasurer, will have the following responsibilities: Monitor company's cash positions, and provide funding where needed; Help to develop a cashflow forecasting process in Treasury; Preparation of...

  • Treasury Manager

    2 settimane fa


    Milan, Italia Sonnedix A tempo pieno

    Vacancy Name Treasury Manager - Italy (Milan)Locations MilanLocation Country ItalyProfileLocal Language Job Description-Dont UseShort Description for Portal Treasury Manager reports to the Financial Controller, and in close contact with the Project Finance team, the candidate will be responsible for managing banking relationships and ensuring all loan...


  • Milan, Italia PepsiCo A tempo pieno

    OverviewAre you interested in a career in Finance in PepsiCo? Are you passionate about Control & Reporting?Then now is the time to explore the opportunities of PepsiCo: join us as the nextPTP & Treasury Junior Specialist .Working with inspiring and experienced colleagues, you'll find that the atmosphere in our office inMilanois informal and engaging. With an...


  • Milan, Italia PepsiCo A tempo pieno

    Overview Are you interested in a career in Finance in PepsiCo? Are you passionate about Control & Reporting?Then now is the time to explore the opportunities of PepsiCo: join us as the next PTP & Treasury Junior Specialist .Working with inspiring and experienced colleagues, you'll find that the atmosphere in our office in Milano is informal and...


  • Milan, Italia Randstad A tempo pieno

    Randstad Italia Spa - Divisione Talent Selection Specialist Hopportunities - Filiale di Milano specializzata nella ricerca e selezione dei migliori professionisti del mercato appartenenti alle Categorie Protette ai sensi della Lg. 68/99, ricerca per importante azienda internazionale del settore Energia , un Treasury Manager con Inglese.L'azienda con sede a...


  • Milan, Italia Page Personnel A tempo pieno

    La figura, riportando al Middle Office Manager, dovrà occuparsi delle seguenti mansioni:-gestione del prodotto consolidata mare import;-elaborazione rata mensile ai Field Sales;-partecipare alle negoziazioni a livello nazionale con i partner strategici;-negoziazione tariffe con carrier e agenti esteri;-supportare il tender desk sulle...

  • Treasury Analyst

    6 giorni fa


    Milan, Italia NetApp A tempo pieno

    Title: Treasury Analyst - Risk Location: Cork, Munster, IE, T23 PPT8 Requisition ID: 126292 About NetApp We’re forward-thinking technology people with heart. We make our own rules, drive our own opportunities, and try to approach every challenge with fresh eyes. Of course, we can’t do it alone. We know when to ask for help, collaborate with others,...


  • Milan, Italia Adecco Filiale di Milano Banche A tempo pieno

    Adecco Credit & Banking is hiring for an international bank, aMiddle Office Specialist Banking SectorThe TeamYou'll be working in the CIA Desk of the Front Support Office. As Middle Office Specialist you are the joining link between Front Office and Operation Group Function in relation to Off-Boarding, Asset Transfer, AML Client Due-Diligence and Documents...


  • Milan, Italia Adecco Italia A tempo pieno

    Adecco Credit & Banking is hiring for an international bank, aMiddle Office Specialist – Banking SectorThe TeamYou'll be working in the CIA Desk of the Front Support Office. As Middle Office Specialist you are the joining link between Front Office and Operation Group Function in relation to Off-Boarding, Asset Transfer, AML Client Due-Diligence and...


  • Milan, Italia GIORGIO ARMANI S.P.A. A tempo pieno

    The Armani Group is a leading company in the fashion and luxury sector, with more than 8,000 employees. Its three core brands – Giorgio Armani, Emporio Armani and A|X Armani Exchange – are active in all the world’s major countries, across many continents. With origins firmly rooted in Italy, but also with a cosmopolitan vision and culture, the company...

  • Middle Office

    3 settimane fa


    Milan, Italia Adecco Italia A tempo pieno

    Adecco Credit & Banking ishiring for the Italian Branch of a prestigious investment bank, aMiddle Office - Global MarketsThis role is an exciting opportunity for a talented individual to work in the dynamic Equity and Fixed Income client service team. The team provides primarily middle & back office support to Italian institutional clients and various...

  • Junior Treasury

    4 settimane fa


    Milan, Italia Adecco Medical & Science Milano A tempo pieno

    Adecco LifeScience, divisione specializzata di Adecco, ricerca per azienda leader nel settore Healthcare un/a TREASURY JUNIORPRINCIPALI RESPONSABILITÀll/la Treasury Junior supporta il team Finance & Treasury nella gestione della liquidità e del debito, nell'analisi dei mercati finanziari e nel coordinamento delle attività di tesoreria di tutte le filiali...

  • Junior Treasury

    4 settimane fa


    Milan, Italia Adecco Italia A tempo pieno

    Adecco LifeScience, divisione specializzata di Adecco, ricerca per azienda leader nel settore Healthcare un/a TREASURY JUNIORPRINCIPALI RESPONSABILITÀll/la Treasury Junior supporta il team Finance & Treasury nella gestione della liquidità e del debito, nell'analisi dei mercati finanziari e nel coordinamento delle attività di tesoreria di tutte le filiali...

  • Middle Office

    3 settimane fa


    Milan, Italia Adecco Filiale di Milano Banche A tempo pieno

    Adecco Credit & Banking ishiring for the Italian Branch of a prestigious investment bank, aMiddle Office - Global MarketsThis role is an exciting opportunity for a talented individual to work in the dynamic Equity and Fixed Income client service team. The team provides primarily middle & back office support to Italian institutional clients and various...

  • Middle Office

    3 settimane fa


    Milan, Italia Adecco Italia A tempo pieno

    Adecco Credit & Banking ishiring for the Italian Branch of a prestigious investment bank, aMiddle Office - Global MarketsThis role is an exciting opportunity for a talented individual to work in the dynamic Equity and Fixed Income client service team. The team provides primarily middle & back office support to Italian institutional clients and various...


  • Milan, Italia Société Générale Assurances A tempo pieno

    Middle Office GTB Analyst – M/W Permanent contract|Milano|Banking operations processing Middle Office GTB Analyst – M/W Milano, Italy Permanent contract Banking operations processing Responsibilities Based on a diversified universal banking model, the Société Générale operates in Italy through different companies belonging...


  • Milan, Italia Prometeia A tempo pieno

    Are you curious and ready to accept a new challenge in your career? Are you eager to join a dynamic company and bring innovation through your work and skills? Prometeia offers you opportunities for growth and training in a Group with over 1000 professionals working for more than 500 clients in 20 countries around the world. As a leading provider of Risk...

  • Office Manager

    1 settimana fa


    Milan, Italia Green Recruitment Company A tempo pieno

    ​Job title: Office ManagerLocation: Greater Milan Metropolitan Area (On-site)TGRC is working with a leading renewable energy specialist who is looking for an Office Manager to join their team.Responsibilities:Organising the office work cycle and ordering stationery and equipment.Perform basic bookkeeping activities (invoice registering,...