Treasury and Collateral Officer

il y a 2 semaines


Paris, France LSEG (London Stock Exchange Group) Temps plein

LSEG (London Stock Exchange Group) is more than a diversified global financial markets infrastructure and data business. We are dedicated, open-access partners with a dedication to excellence in delivering the services our customers expect from us. With extensive experience, deep knowledge and worldwide presence across financial markets, we enable businesses and economies around the world to fund innovation, manage risk and create jobs. It’s how we’ve contributed to supporting the financial stability and growth of communities and economies globally for more than 300 years Through a comprehensive suite of trusted financial market infrastructure services - and our open-access model - we provide the flexibility, stability and trust that enable our customers to pursue their ambitions with confidence and clarity.

LSEG is headquartered in the United Kingdom, with significant operations in 65 countries across EMEA, North America, Latin America and Asia Pacific. We employ 25,000 people globally, more than half located in Asia Pacific. LSEG’s ticker symbol is LSEG.

About LCH:
LCH (originally London Clearing House) is the London Stock Exchange Group clearing house that serves major international exchanges, as well as a range of OTC markets. Based in London and Paris, LCH offer clearing services for a diverse range of asset classes, including Equities, Fixed Income, FX, Rates, credit default swaps (CDS), options on CDS, repos and fixed income, commodities, cash equities, and equity derivatives.

The role:
The Treasury and Collateral department, attached to the Operations department of LCH SA, has the essential missions of ensuring, on behalf of the clearing house, the following functions:

- management of securities and cash guarantees deposited by members in relation to transactions carried out on the markets, for which LCH SA provides compensation
- daily and intra-day management of margin calls
- the settlement of the company's cash flows (revenue collection, payment of suppliers, intra-group flows, etc.), and their accounting on an auxiliary accounting tool
- the relationship with banks, central and commercial, and the monitoring of bank accounts
- the settlement and accounting of the company's cash investments
- projects related to activities: integration of new markets, evolution of place systems, adaptation of processes to new regulations. evolution of IT systems, monitoring of operational risks, evolution of procedures and regulations
- Management of requests for deposit and withdrawal of cash and non-cash guarantees from customers, namely their recording in LCH SA's books, entry of instructions in the various CSD systems, monitoring of settlements, processing of rejections and substitutions cash/securities
- Monitoring the proper execution of fund call disbursements in different currencies (EUR, USD, etc.)
- Daily management of the recording of investment transactions (repurchase agreements delivered, purchase/sale of securities) and their monitoring until final settlement in the various CSD accounts (Euroclear France, Euroclear Bank, Clearstream) and in the LCH SA books
- The daily valuation of the bilateral term reverse repos portfolio, the calculation of guarantee deposits linked to these operations and the generation of the corresponding payments
- Management of bank accounts linked to investment, guarantee and clearing activity
- Regular review and updating of operational procedures and permanent controls
- Analyzing customer requests, writing responses
- Participation in morning and evening on-call duty, tests, Fire Drills and all other activities and events aimed at guaranteeing continuity of service, within the framework defined by LCH SA

Skills & Experience required
- Master in Finance or equivalent experience
- Experience in market finance, accounting
- Sense of rigor, precision and perseverance
- Fluent practice of English, written and spoken
- Good personal organization, ability to work as a team in a demanding environment and respect deadlines for completing tasks and reports
- Essential interpersonal and editorial skills, particularly for communication with customers, use of CRM
- Knowledge of payment and settlement/delivery systems (Target2, T2S, Easyway, Xact, Swift, etc.),
- Availability (including early hours and staggered working days: public holidays, test days)
- Office pack

LSEG is a leading global financial markets infrastructure and data provider. Our purpose is driving financial stability, empowering economies and enabling customers to create sustainable growth.

Our purpose is the foundation on which our culture is built. Our values of Integrity, Partnership, Excellence and Change underpin our purpose and set the standard for everything we do, every day. They go to the heart of who we are and guide our decision making and everyday actions.

Working with us means that you will be part of a dynamic organisation of 25,000 people across 65 countries. However, we will value y



  • Paris, France Asian Infrastructure Investment Bank Temps plein

    Treasury Officer, Operations and Services The Asian Infrastructure Investment Bank (AIIB) is a multilateral development bank whose mission is Financing Infrastructure for Tomorrow in Asia and beyond-infrastructure with sustainability at its core. We began operations in Beijing in 2016 and have since grown to 110 approved members worldwide. We are capitalized...


  • Paris, France Capital Fund Management Temps plein

    Paris, 75, FR**ABOUT CFM** We value innovation, dedication, collaboration and the ability to make an impact and together we create an environment for talented and passionate experts in research, technology and business to explore new ideas and challenge assumptions. **ABOUT THE ROLE** The strategy of CFM's Operations team is to deliver a high-quality...

  • Vp Treasury Sales Officer

    il y a 2 semaines


    Paris, France Bank of America Temps plein

    At Bank of America, we are guided by a common purpose to help make financial lives better through the power of every connection. We do this by driving Responsible Growth and delivering for our clients, teammates, communities and shareholders every day. Being a Great Place to Work is core to how we drive Responsible Growth. This includes our commitment to...

  • Middle Office Collateral

    il y a 2 semaines


    Paris, France Grafton Fr Temps plein

    **À propos de nous**: Grafton Recruitment, spécialiste de l'intérim et du recrutement de profils juniors à professionnels confirmés, recherche un Middle Office Collateral H/F pour le compte de son client, société de gestion reconnue à la dimension internationale. Mission à pourvoir en Intérim 6 mois renouvelable longue...


  • Paris, France Capital Fund Management (CFM) Temps plein

    Founded in 1991, we are a global quantitative and systematic asset management firm applying a scientific approach to finance to develop alternative investment strategies that create value for our clients. We value innovation, dedication, collaboration, and the ability to make an impact. Together, we create a stimulating environment for talented and...


  • 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 &...


  • 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 &...


  • Paris, France Asian Infrastructure Investment Bank Temps plein

    Treasury Officer, Client Solutions The Asian Infrastructure Investment Bank (AIIB) is a multilateral development bank whose mission is financing the Infrastructure for Tomorrow-infrastructure with sustainability at its core. We began operations in Beijing in January 2016 and have since grown to 110 approved Members worldwide. We are capitalized at USD100...

  • Treasury & Cash Specialist

    il y a 2 semaines


    Paris, France Naboo Temps plein

    Join to apply for the Treasury & Cash Specialist role at Naboo Contract Details 📃 Permanent Contract (CDI) 📍Location: Paris, France 💰 Salary: Competitive (based on experience) Responsibilities Cash Operations & Forecasting: Manage daily cash positions, short‑ and long‑term forecasts, and reconciliations. Banking & Relationships: Maintain...

  • Treasury Analyst Europe

    il y a 1 jour


    Paris, France CHANEL Temps plein

    Location : 136 CDG, Neuilly-sur-Seine Reports to : Treasury & Corporate Finance Manager - Europe Contract : Full-time and permanent position. Chanel : At CHANEL, our values are grounded in creating the conditions for people to perform at their best and feel fulfilled and confident in their work. The department : Treasury is an integrated Finance department...