Treasury Officer
il y a 7 jours
Paris, 75, FR
**ABOUT CFM**:
We value innovation, dedication, collaboration, and the ability to make an impact. Together, we create a stimulating environment for talented and passionate experts in research, technology, and business to explore new ideas and challenge existing assumptions.
**ABOUT THE ROLE**:
- The strategy of CFM's Operations team is to deliver a high-quality service for trade processing as well as investor support. It also has a role in limiting operational risk. Key areas of focus of the team include improving time to market for new developments, reduction of exceptions through workflow design an automation, optimising cost of trading and financing, providing valuation services, and managing cash and collateral flows.
Our Operations Department, of more than 20 people, takes a central part in CFM development.
Clearly driven by the will to bring value to our client and distribution networks, we work along with them since Fund structuration until final set up of solution for treasury Optimization.
Working closely with other CFM Teams (Business Development, Research, Trading,) and with external Stake Holders (Prime Brokers, Counterparties,), we take great care to provide client with the best and optimized financial and operational solution, while constantly enhancing both internal tools and processes.
Engaged in an increasing number of topics, the Treasury & Investor Services desk needs to strengthen to support numerous new projects, assist Research, and support the general scaling up of the firm.
- You will be in charge of the following missions:
- Manage activities related to Collateral Management in collaboration with our Counterparties
- Optimize free cash return, using a wide range of financing products
- Suggest operational enhancements improvements and new investment vehicles
- Identify and articulate needs for our cash optimization tool, and lead transformation projects to address them (launching a fund, integrating a new counterparty or asset class into the processes, etc.)
- Contribute to increasing the automation level of our investment processes and controls
- Monitor market trends in Treasury activities with our counterparties
**SKILLSET REQUIREMENTS/QUALIFICATIONS**:
- We are seeking highly motivated, inquiring individuals who are able to work as part of a team, are endowed with a strong sense of autonomy and a capacity to communicate and are open to change, and have:
- Engineering degree / Master’s (BAC + 5)
- Experience in financial markets (Asset Management, Custodian, Prime Broker, Consulting Firm, etc.)
- Mastery of the various components of the Asset Management value chain
- Knowledge of fixed income instruments (lifecycle, trading, valuation, etc.) and collateral management (bilateral and/or regulated under UMR)
- Proficient in both French and English at a professional level
**EQUAL OPPORTUNITIES STATEMENT**:
We are continuously striving to be an equal opportunity employer and we prohibit any discrimination based on sex, disability, origin, sexual orientation, gender identity, age, race, or religion. We believe that our diversity, breadth of experience, and multiple points of view are among the leading factors in our success.
CFM is a signatory of the Women Empowerment Principles.
-
Vp Treasury Sales Officer
il y a 19 heures
Paris, France Bank of America Temps pleinAt 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...
-
Treasury & Liquidity Risk Officer
il y a 1 semaine
Paris, France ENGIE Group Temps pleinAbout ENGIE and Supply & Energy Management: ENGIE, a global leader in low‑carbon energy and services, relies on its Global Business Unit Supply & Energy Management (GBU S&EM) to provide reliable, sustainable, and affordable energy to all its customers. This strategic unit optimizes the Group’s and clients’ production assets and designs tailored energy...
-
Support Is Engineer W/m
il y a 2 semaines
Paris, France ArcelorMittal Treasury Temps pleinArcelorMittal Treasury Paris, FrancePosted 3 hours ago Permanent €60k - €70k - F- Posted by - Francoise Denoual- RecruteurFollow - At ArcelorMittal, we use the most innovative technologies to create the steels that will shape the world of tomorrow. Every day, over 158 000 of our employees, spread across more than 60 countries, push the boundaries of...
-
Treasury & Tax Specialist
il y a 6 jours
Paris, France Naboo Temps pleinJoin to apply for the Treasury & Tax Specialist role at Naboo 💰Salary: Competitive (based on experience) As Tax & Treasury Officer, you will play a pivotal role in managing Naboo's cash flow and funding strategies, ensuring the company maintains financial stability and operational efficiency. You will work closely with the finance team to execute daily...
-
Gmat Officer
il y a 2 semaines
Paris, France BNP Paribas Temps plein« Votre expertise pour accompagner les Métiers » **#ALMT #CIB #Global Markets** **Votre rôle au quotidien ?** L’ALM Treasury (Asset & Liabilities Management Treasury - ALMT), activité transversale présente dans l’ensemble du Groupe BNP Paribas, est en charge de gérer les risques de liquidité, de taux et de change du bilan de la...
-
Treasury Officer H/F en CDI
il y a 2 semaines
Paris 8ème, France Comptalents Temps pleinNous recherchons pour notre client, une banque de renommée internationale, un.e Treasury Officer en CDI. Vos missions sont les suivantes : Négocier des dépôts, des devises, des produits à revenu fixe et des produits dérivés dans le but de générer des profits dans le cadre de paramètres de risque définis et de limites autorisées. Assurer un...
-
Treasury Analyst
il y a 3 jours
Paris, Île-de-France iBanFirst Temps pleinÀ pourvoir à partir de début janvier 2026Stage : 6 mois minimumAlternance : 1 anQui sommes-nous ?iBanFirst est un acteur international des services financiers règlementé par la banque national de Belgique, offrant des solutions de paiement alternatives à l'offre traditionnelle des banques.Fintech fondée en 2016, iBanFirst a développé une plateforme...
-
Treasury Intern
il y a 2 semaines
Paris, France Vestiaire Collective Temps pleinVestiaire Collective is the leading global online marketplace for desirable pre-loved fashion. Our mission is to transform the fashion industry for a more sustainable future by empowering our community to promote the circular fashion movement. Vestiaire was founded in 2009 and is headquartered in Paris with offices in London, Berlin, New York, Singapore, Ho...
-
Cdd - Treasury Financial Manager - Control and
il y a 4 jours
Paris, France Pernod Ricard Temps pleinWant to join a fast-moving company, work among convivial teams, and take part in the global growth strategy of one of the most prestigious and comprehensive portfolios in the wine & spirits industry? We are looking for a Treasury Financial Manager - Control and Consolidation! You will be based at The Island, our office in central Paris. CDD - 6 months Your...
-
Treasury & Cash Specialist
il y a 1 semaine
Paris, France Naboo Temps plein📃 Permanent Contract (CDI) 📍Location: Paris, France 💰Salary: Competitive (based on experience) YOUR ROLE As Treasury & Cash Specialist, you will play a pivotal role in managing Naboo's cash flow and funding strategies, ensuring the company maintains financial stability and operational efficiency. You will work closely with the finance team to...