Apprenticeship Group Treasury and Group Capital Management September 2025
il y a 18 heures
Référence de l’offre
2500038G
Type de contrat
Alternance
Niveau d'expérience
Etudiants
Société du groupeGIE AXA
Famille métierFinance et stratégie
Localisation
PARIS, Paris
**Votre rôle et vos missions**:
**We are looking for our next Treasury & Capital Management apprentice as of September 2025 at our AXA Headquarters**
**Location : 25 avenue Matignon, 8th arrondissement Paris.**
As a leading global insurance company, we prioritize human progress by safeguarding what matters most. Join our team of 150,000 professionals in an innovative and challenging environment.
AXA Headquarters bring together the group's corporate activities and oversees global entities, ensuring strategic coordination and compliance with standards, as well as consistency in commercial approaches.
The Group Corporate Finance & Treasury department is responsible for the steering and management of the Group’s financial resources (capital, debt, cash). This team of approx. 40 works together to understand and address the expectations of our stakeholders (shareholders, debtholders, local supervisors, business partners) regarding the level and form of our capital, its expected return and the most appropriate Group financial structure. It optimizes the sourcing, allocation and use of capital and cash across the Group to support AXA and its individual businesses in reaching their ambitions.
**Within the Group Corporate Finance and Treasury Department, you will join successively the Group Treasury and Group Capital Management teams as a Treasury & Capital Management apprentice.**
**Group Treasury**: The team is managing (i) the financing of AXA through capital markets across the capital structure, (ii) the financial risks of AXA through hedging activities, (iii) AXA equity instruments and related transactions, and (iv) AXA Group credit facilities and the relationship with partner banks. To do so, the team is active in analyzing, structuring, and executing transactions on a wide range of markets/products: hybrid/senior debt issuances, credit facilities, interest rate & foreign exchange derivatives, AXA equity.
**Group Capital Management**: The team leads the department work on two major dimensions: i) Capital Management activities to optimize the use of capital by our operating entities and steer the Group’s cash remittance to generate strong internal cash resources that can be redeployed according to the Group’s priorities; and ii) steering of the Group’s financial structure.
**What You’ll Do**
- Within Group Treasury you will be: _
- Monitoring market and economic developments, gathering market data and producing statistical analyses
- Analyzing, monitoring and reporting of open positions and associated risk indicators. Acting as liaison with controlling team and counterparties for confirmations
- Monitoring rates/credit, secondary and primary market development with a focus on the insurance sector and AXA outstanding debt. Following indicative pricing by partner banks. Maintaining and improving related visualization tools.
- Support the team in preparing potential transactions from recommendation and approval process to the interaction with banks and the execution. Ensure the appropriate pricing of intragroup transactions.
- Participate to the weekly treasury committee dedicated to near term cash, liquidity, FX and interest rate risk and the approval of related transactions. Prepare the minutes of meetings.
- Within Group Capital Management you will be: _
- Contributing to the definition and implementation of the Group’s financial structure strategy, including the sources and uses of the Group’s solvency and cash resources
- Participating to the Capital Allocations sessions in March/April 2026
- Contributing to the production, monitoring and reporting of main financial KPIs allowing to measure the efficiency of the Group’s capital strategy (remittance / holding cash / Gearing / Solvency and tiering capacity / long-term capital management plan)
**Votre profil**:
**Who You Are**
- Solid knowledge of Finance (financial analysis, modeling, valuation, financial markets). Interest for economics.
- Analytical and synthesis skills
- Excellent communication skills, both written and oral
- PC skills: MS Office pack as a must. VBA, Bloomberg, Power BI as pluses.
- Fluent in French and English
- Prior experience in an investment bank or a large corporate treasury as a plus
**What We Offer**
- An international work environment - over 45 nationalities present on site
- State of the art office spaces in the heart of Paris with remote work allowed.
- 60% reimbursement of Navigo pass
- Generous Inter-Company Committee.
- Company restaurant and meal vouchers.
- And most importantly: a valuable experience within an active Early Talent community
During the recruitment process, feel free to inform the recruiters about any specific adjustments you may need for your job.
The information provided by applicants will be treated as strictly conf
-
Group Treasury Manager
il y a 3 heures
Paris, France Harmattan AI Temps pleinAbout UsHarmattan AI is a next-generation defense prime building autonomous and scalable defense systems. Following the close of a $200M Series B, valuing the company at $1.4 billion, we are expanding our teams and capabilities to deliver mission-critical systems to allied forces.Our work is guided by clear values: building technologies with real-world...
-
Internship - Finance and Treasury Department (H/F) - July 2025
il y a 1 semaine
Paris, France Tikehau Capital Temps plein**Mission**: - [FR] _ Vous rejoindrez la Direction Financière (notamment l'équipe Financement & Trésorerie), dans le cadre d’un stage d’une durée de 6 mois, qui a pour objectif d'accompagner le développement des entités opérationnelles du Groupe, à travers quatre départements: financement & trésorerie, contrôle financier, comptabilité &...
-
Apprenticeship Group Strategy and Investor Relations September 2025
il y a 18 heures
Paris, France AXA Temps pleinRéférence de l’offre 2500038C Type de contrat Alternance Niveau d'expérience Etudiants Société du groupeGIE AXA Famille métierFinance et stratégie Localisation PARIS, Paris **Votre rôle et vos missions**: **We are looking for our next Corporate Strategy and Investor Relations apprentice as of September 2025 and at our AXA...
-
Internship - Finance and Treasury Department (H/F)
il y a 17 heures
Paris, France Tikehau Capital Temps plein**Mission**: - [FR]_ Vous rejoindrez la Direction Financière (notamment l'équipe Financement & Trésorerie), dans le cadre d’un stage d’une durée de 6 mois, qui a pour objectif d'accompagner le développement des entités opérationnelles du Groupe, à travers quatre départements: financement & trésorerie, contrôle financier, comptabilité &...
-
Group Treasury
il y a 2 semaines
Paris, France Upway Temps plein**Description**: Upway is currently recruiting for the position of Group Treasury & Financing Manager. This role presents a unique opportunity to build the Treasury & Financing function from the ground up. This role includes taking ownership of all the banking relations of the company, forecasting accurately the cash needs of the business, establishing the...
-
Group Treasury
il y a 2 semaines
Paris, France Upway Temps plein**Group Treasury & Financing Manager**: - Department - Finance - Employment Type - Full Time - Location - Paris - Workplace type - Hybrid - Compensation - €80,000 - €90,000 / year **What you will do**: **What you will need**: **Benefits**: **About Upway**: - At Upway, we are making electric mobility accessible to everyone. We are looking for high...
-
Head of Treasury
il y a 2 semaines
Paris, France Product Life Group Temps pleinJoin PLG as our dynamic Head of Treasury, where you’ll spearhead and actualize the Group’s innovative Treasury strategy across all subsidiaries. Bring your professionalism and passion to the forefront as you lead our team with enthusiasm and expertise. **Responsibilities**: **Cash Management**: manage the organization’s cash flow, ensuring that there...
-
Group Treasury
il y a 3 heures
Paris, France Upway Temps pleinDescription Upway is currently recruiting for the position of Group Treasury & Financing Manager. This role presents a unique opportunity to build the Treasury & Financing function from the ground up. This role includes taking ownership of all the banking relations of the company, forecasting accurately the cash needs of the business, establishing the...
-
Treasury Analyst
il y a 3 heures
Paris, France AXA Group Temps pleinAbout AXA Group Operations Under the leadership of the Group COO & CEO of AXA GO, AXA Group Operations covers the following divisions: Group CIO Group Technology Operations Group Security Group Emerging Data & Technology Group Procurement & Sourcing Group Operations Transformation Strategic Programs, Group Operations Finance GO General Secretary and Risks...
-
Paris, France Tikehau Capital Temps plein**Missions**: - [FR] _ - Dans le cadre du développement des Achats IT et Moyens Généraux du groupe Tikehau Capital, vous interviendrez en accompagnement au responsable des Achats, et serez amené à : _ - Assurer le suivi administratif et logistique des achats (process de signature des contrats, commandes et facturations) - Assurer le suivi et la mise à...