The Company
Constellium is a global leader developing and manufacturing high-value added aluminium products and solutions for a broad scope of markets and applications, focusing on Aerospace, Automotive & Packaging. We design, develop and engineer products / solutions in partnership with our customers. With approximately 12, employees around the world, we operate 25 manufacturing sites and 3 R&D centers in Europe, North America, and China, with reported sales of €7.3 billion.
We are headquartered in Paris, with corporate offices in Baltimore and Zürich. In our Zürich Corporate office, we employ approximately 70 people with backgrounds from all around the world.
The Group Treasury department consists of approx. 10 professionals (mainly based in Zurich and Paris) and is responsible for all treasury activities globally, especially managing cash and liquidity of the Constellium group, managing banking relationships, negotiating and managing all external debt, managing and hedging FX and commodity risks, initiating and overseeing trade finance transactions and managing customer credit risk.
The Treasury Back Office Analyst will be a member of the Group Treasury department. The position is based in Zurich, Switzerland.
Key responsibilities
As the Treasury Analyst, you will be responsible for the confirmation, settlement, reporting and accounting of all treasury transactions. You will ensure operational excellence and compliance in all back-office treasury activities, and as such contributing to the effective management of financial risks.
Reporting to the Director Holdings & Corporate, your role is key in the organization of the treasury department as it contributes in making sure that treasury controls are maintained at all time, complying with internal policies and internal control framework, securing all transactions on a daily basis and ensuring that high-quality treasury figures are accounted and reported for.
Main Treasury Back-Office Tasks:
Overall:
Profile requirements
• Bachelor’s degree in Treasury, Finance, Banking or related field
• Minimum 3 to 5 years of relevant working experience in a multinational organisation
• Good understanding of treasury processes, treasury controls, treasury accounting
• Experience with SWIFT messaging, bank portals, confirmation platforms
• Advanced proficiency in Microsoft Excel (pivot tables, formulas, macros). Experience in Power BI and RPA tools like power automate is a plus
• At ease with information systems (treasury, accounting, etc).
• Independent, accountable and process driven
• Strong analytical skills and a strong detail oriented and problem-solving mentality.
• Need to be able to work under time pressure and adhere to strict reporting deadlines and a high standard of internal policies and controls in a multinational environment.
• Fluent in English, German and/or French are an asset
Benefits
We offer flexible working opportunities, a wide range of further training options and good social benefits.
Treasury Analyst • Zürich, Zürich , Switzerland