Our client is an international group listed on the stock exchange, active in 47 countries with more than 4 billion Euros turnover.
To support its growth, we are looking for a Treasury Analyst (M / F) to join its global Treasury department in Luxembourg.
Working closely with the Group Treasury Operations Manager, your main responsibilities will be : Follow up and oversight of treasury operations, including liquidity management, intercompany financing and closing activities Strong support on treasury projects : security of cash, RFPs, cash pool implementation, project management Assist the team on key financing project, either for external fund raising (bonds, commercial paper, bank debt, real estate financing) or internal funding management To be a key point of contact with the subsidiaries on treasury matters.
Profile : Master’s degree in Treasury or Corporate Finance A first similar experience of at least one year (long internship or VIE in cash management or financing could be considered) Project and detail-
oriented, proactive, entrepreneur mindset, with strong organizational and analytical skills Fluency in English. Any other language will be considered as a strong advantage.
Should you be interested in this opportunity, please send your application to Charline Leroy quoting the reference LU783795 .