Treasury Associate Finance Specialist

il y a 4 semaines


Paris, Île-de-France Hedonova LLC Temps plein
Job Summary

We are seeking a highly skilled Treasury Associate Finance Specialist to join our team at Hedonova LLC. The successful candidate will be responsible for developing and implementing an enhanced reporting system for capturing broker margin figures accurately and promptly.

Key Responsibilities
  • Monitor fund liquidity and identify buying power inefficiencies across prime brokers, futures commission merchants, and bilateral counterparts.
  • Build a robust reporting system that captures timely and accurate broker margin figures.
  • Improve prime broker and vendor data to report daily margin excess to senior team members.
  • Collaborate with Macro Operations to request trade recaps and answer questions on the accuracy of specific bilateral margin figures.
  • Interact with prime brokers to run 'what if' scenarios on portfolios across our prime brokers to ensure maximum buying power and discover certain prime broker strengths in particular asset classes.
  • Assist with analytics around certain trading strategies to ensure we are utilizing the best prime brokers for maximum efficiency.
  • Work with our vendors on the replication of more complex margin rule sets to enhance the current working capital reporting and attribution to portfolio managers.
  • Ensure our margin/risk vendors are accurately reporting margin data and interacting with other members of the treasury team to streamline the working capital reporting.
  • Review daily margin call wires set up by our vendor to ensure accuracy and make sure they are fully approved to satisfy bilateral margin calls.
  • Be involved in cash optimization across leverage providers to mitigate financing costs.
  • Work with internal teams to enhance the reporting of crucial treasury data to management.
Requirements
  • Prior experience working in a treasury or related group.
  • Knowledge of how different asset classes are financed through leverage providers.
  • Prior experience with different types of prime broker margin rule sets.
  • Experience in the margin treatment of multiple asset classes.
  • Experience with Uncleared Margin Rules.
  • Strong written and verbal communication skills.
  • Strong Excel skills are required. SQL and VBA a plus.
  • Ad-hoc queries from internal management and portfolio managers may be required.


  • Paris, Île-de-France Arcelormittal Treasury Temps plein

    Objectifs de la FonctionL'analyste Treasury & Controlling rejoindra l'équipe de Trésorerie d'ArcelorMittal pour jouer un rôle clé dans la gestion des finances du groupe.Ses principaux objectifs seront:Effectuer des analyses financières approfondies des bilans des filiales du groupe et coordonner les comités de crédit.Comparer les...

  • Treasury Specialist

    il y a 4 semaines


    Paris, Île-de-France SCOR Temps plein

    Treasury SpecialistAs a Treasury Specialist at SCOR, you will play a crucial role in managing the company's financial assets and liabilities. Your responsibilities will include:Executing cash management activities, such as opening and closing bank accounts, payment management, and bank facilities management.Analyzing the cash position daily and making...


  • Paris, Ile-de-France Arcelormittal Treasury Temps plein

    ArcelorMittal est la plus grande entreprise sidérurgique et minière au monde. Nous utilisons les technologies les plus innovantes pour créer les aciers dont le monde de demain sera fait. Chaque jour, plus de 170 000 de nos talents, répartis dans plus de 60 pays, repoussent les limites de la numérisation et utilisent des technologies de pointe pour...


  • Paris, Île-de-France American President Lines Temps plein

    CEVA Logistics is seeking a skilled Treasury Transformation Specialist to play a leading role in the Treasury transformation of the Logistics division. The successful candidate will perform various treasury activities, including bank statement management, daily cash position, and balancing transfers, in a growing international business.Key...

  • Treasury Specialist

    il y a 4 semaines


    Paris, Île-de-France American President Lines Temps plein

    About the Role:We are seeking a Treasury Specialist to join our Logistics Division. As a key member of our team, you will be responsible for performing various treasury activities, including bank statement management, daily cash position, balancing transfers, and intercompany financing needs. Your expertise will be essential in driving the Treasury...

  • Treasury Specialist

    il y a 3 semaines


    Paris, Île-de-France SCOR Temps plein

    Job Summary:We are seeking a highly skilled Treasury Specialist to join our team at SCOR. The successful candidate will be responsible for executing various treasury activities, including bank account management, payment processing, cash position tracking, and FX management.Key Responsibilities:Manage bank accounts, including opening and closing, and ensure...

  • Treasury Operations Specialist

    il y a 4 semaines


    Paris, Île-de-France American President Lines Temps plein

    CEVA Logistics is seeking a Senior Treasury Analyst to support the Group's complex and ad-hoc treasury operations. As a key member of the treasury team, you will be responsible for managing the Group's treasury operations, including capital increases, M&A closing, and centralized IC settlements.Key Responsibilities:Lead ad-hoc and complex Treasury...

  • Senior Treasury Specialist

    il y a 21 heures


    Paris, Île-de-France SCOR Temps plein

    About the Role:We are seeking a highly skilled Senior Treasury Specialist to join our team at SCOR. This is an exciting opportunity for a motivated and experienced professional to take on a challenging role in treasury management.Key Responsibilities:Treasury Operations: Manage daily treasury activities, including cash positioning, liquidity management, and...

  • Treasury Specialist

    il y a 4 semaines


    Paris, Île-de-France SCOR Temps plein

    Job Title: Treasury AnalystWe are seeking a highly skilled Treasury Analyst to join our team at SCOR. As a key member of our finance department, you will play a crucial role in executing various treasury activities, ensuring the smooth operation of our financial processes.Key Responsibilities:Bank Account Management: Open and close bank accounts, follow up...

  • Spécialiste en ALM Treasury

    il y a 4 semaines


    Paris, Île-de-France Talan Temps plein

    Fonction Nous recherchons un Spécialiste en ALM Treasury pour rejoindre notre équipe de Finance. Vous serez chargé de participer à l'évolution des systèmes en charge de gérer les risques de liquidité, de taux et de change du bilan de la Banque. Vous travaillerez au sein du département ALM Treasury d'une grande banque d'investissement et serez...

  • Treasury Specialist

    il y a 4 semaines


    Paris, Île-de-France Contentsquare Temps plein

    About the Role:We are seeking a highly skilled Treasury Analyst to join our global Finance Department. As a key member of our Treasury team, you will be responsible for handling and continuously improving our daily treasury activities and operational cash management.Key Responsibilities:Manage payments and third-party relationships in our Cash Management...

  • Treasury Specialist

    il y a 3 semaines


    Paris, Île-de-France SCOR Temps plein

    Job DescriptionAs a Treasury Analyst at SCOR, you will play a crucial role in managing the company's financial transactions and ensuring the smooth operation of our treasury functions.Key ResponsibilitiesBank Account Management: Open and close bank accounts, follow up on bank powers, and archive statements and bank notices.Payment Management: Process daily...

  • Treasury Specialist

    il y a 4 semaines


    Paris, Île-de-France SCOR Temps plein

    As a key member of the SCOR EMEA team, you will play a crucial role in executing various treasury activities, ensuring the smooth operation of our financial processes. Your responsibilities will include bank account management, payment processing, cash position tracking, and FX management analysis. You will also be responsible for loan validations, bookings,...


  • Paris, Île-de-France Chanel, Inc. Temps plein

    Job Title: Treasury Corporate Finance Manager EuropeChanel, Inc. is seeking a highly skilled Treasury Corporate Finance Manager to join our team in Europe. As a key member of our finance department, you will be responsible for analyzing and challenging business performance through cash flow analysis, managing and consolidating actual and forecast cash flows,...

  • Corporate Finance Associate

    il y a 4 semaines


    Paris, Île-de-France Corporate Finance International Temps plein

    As a Corporate Finance Associate at Corporate Finance International, you will play a key role in the M&A process, developing presentations and materials, preparing financial valuation models, and monitoring the flow of information. You will also participate in meetings with investors and clients, support directors and vice-presidents in executing M&A...

  • Financial Analyst

    il y a 4 semaines


    Paris, Île-de-France American President Lines Temps plein

    Key Responsibilities:As a Treasury Transformation specialist, you will play a leading role in the Treasury transformation of the Logistics division. Your responsibilities will include performing various treasury activities such as bank statement management, daily cash position, balancing transfers, and intercompany financing needs in a growing international...

  • Senior Treasury Specialist

    il y a 4 semaines


    Paris, Île-de-France Contentsquare Temps plein

    Job Title: Senior Treasury AnalystWe are seeking a highly skilled Senior Treasury Analyst to join our global Finance Department. As a key member of our team, you will be responsible for implementing and managing treasury activities, including cash centralization, cash forecasts, FX risk management, and developing procedures and internal control topics.Key...

  • Senior Treasury Analyst

    il y a 4 semaines


    Paris, Île-de-France American President Lines Temps plein

    As a Treasury Operations Specialist at CEVA Logistics, you will be responsible for managing the Group's treasury operations, including complex and ad-hoc tasks that require specific expertise and knowledge.Key Responsibilities:Manage the Group's treasury operations, including capital increases, M&A closing, and centralized IC settlements.Coordinate with...


  • Paris, Île-de-France Chanel, Inc. Temps plein

    Treasury Corporate Finance Manager EuropeLocation: Neuilly sur SeineReports to: Head of Europe TreasuryContract: Full-time and permanent position.About the contextThe department:Treasury is an integrated Finance department actively contributing to Chanel's business strategy, operations, and growth by optimizing the usage of available liquidities, providing...

  • Treasury Manager

    il y a 4 semaines


    Paris, Île-de-France CEVA Logistics Temps plein

    Ceva Animal Health is a global leader in animal health, and we are committed to ensuring the highest possible level of care and well-being for farm animals, companion animals, and wildlife. Our "Together, Beyond Animal Health" vision emphasizes that the health and wellbeing of people, animals, and our planet are totally interlinked. We are committed to a...