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Code de référence:  48984

Senior Treasury Analyst

Richemont

Bellevue, GE, CH

Permanent
  

Richemont, l’un des leaders mondiaux dans le secteur du luxe, possède différentes Maisons spécialisées dans la joaillerie, l’horlogerie et les accessoires haut de gamme. Chaque Maison incarne fièrement une tradition de style, de qualité et d’artisanat et Richemont s’efforce de préserver l’héritage et l’identité propres à chacune d’elle. Dans le même temps, nous nous engageons à innover et à concevoir de nouveaux produits en accord avec les valeurs de nos Maisons, à travers un processus de créativité permanente.

BACKGROUND

 

Global Back-Office Operations is a central function acting under Board mandate with key responsibilities over Group Investment, FX Hedging Program and Cash Management.

 

Reporting to the Global Treasury Operations Manager, the Senior Treasury Analyst will have the responsibility for all aspects of the day-to-day back and middle-office Treasury activities.

 

ROLE AND RESPONSIBILITIES

 

This role requires a structured and well organised approach, a drive for timely and efficient delivery of results and activities, deep knowledge of the international banking framework and tools, project management understanding and experience as well as interest for new technologies.

 

Specifically, the role is to:

 

  • Perform and monitor daily back-office activities into the different Treasury systems.
  • Coordinate user access rights over different platforms with service provider and masterdata team.
  • Responsible for compliance in term of internal controls and policies & procedures in day-to-day activities. Act as an escalation and resolution point for issues.
  • Develop a strong and effective business/working partnership with Treasury Front-Office.
  • Coordinate and facilitate the operational integration of latest acquired business into Treasury Operations.
  • Support Group Financing actions and collaborate with Richemont stakeholders to review, propose, and implement decisions.
  • Manage and deliver team reporting.
  • Coordinate and support Group Trade Finance umbrella
  • Drive efficiency by challenging current thinking and making recommendations on how to optimise Treasury processes.
  • Business partner with key Richemont stakeholders in Finance and Operations to have clear understanding of the strategic goals and business priorities of the Group and be able to translate these into operational Treasury activities and priorities.

 

 

YOUR PROFILE

 

Qualifications                                 

University Degree in Finance, Business or Technology

Qualified ACT professional is an asset

 

Experience                                      

SAP Finance experience

3-5 years of experience in equivalent function

 

Skills                                                

Process driven;

Thorough experience in banking, cash management instrument and tools;

Identify best in class processes & tools and establish recommendation;

Ability to see challenges before they arise

Track record of anticipating and mitigating issues;

Translate business requirements into operational actions;

Proven track record of owning and delivering initiatives;

Strong verbal/written communication and data presentation skills, including an ability to effectively communicate with both business and technical teams;

Analytical and quantitative skills; ability to interpret data, summarize, back up assumptions, and make recommendations;

Strong attention to detail, excellent organization skills, and ability to manage multiple responsibilities;

Excellent English and French.

EN SAVOIR PLUS SUR LA VIE CHEZ RICHEMONT ET NOS MAISONS CI-DESSOUS