Treasury Analyst
Job Summary
You report to Head of Cash management and will be involved in the following treasury activities: Cash Management & Treasury Operations Collateral Management French Cedants Treasury Reports and Implementation of projects.
The position is in contact with banks the technical teams EMEA APAC and AMERICAs Finance teams and Financial Product Crew.
Responsibilities
Cash Management FX & Treasury Operations
Participation in daily cash management decisions as part of the European Cash Pooling and coordination with the asset managers
Participate in the treasury operations related to the French Real Estates Perimeter
Input monitoring and control of Front Office operations in SAP (Transfers FX Funding instruments)
Support in the execution of the quarterly internal Settlements
Define value date for technical/non-technical payments above a defined threshold
Support treasurers in the set-up in SAP TRM for all the financial instruments
Coordinate with Back Office and Accounting teams to ensure proper settlement
Assist in controlling interest applied by banks
Reporting and Analysis
In charge of Group internal and external financing reporting and the associated SharePoint (updates of loan contracts cash advances etc.)
In charge of the Weekly analysis of the actuals at Group level
Participate in the maintenance of the Group Treasury SharePoint
Participate in the production of the SAP TRM KPIs
Provide the Weekly Group Cash Position to the Strategic Planning and Investment department
Treasury Tools & Reporting Development
Support the Cash Management in project initiatives and participate in their implementation.
Identify new reports that can help the treasury community
Help in enhancing the existing treasury reports to support finance community needs
LOCS & Collateral Management
Participate in the LOCs management / requests with the existing tool
Support in the LOCs reporting
French Cedant / Belgium Pledge / French Pledged Assets
Management of the pledge platform & cedants requests
Qualifications
Experience
2 years experience in Treasury/Cash Management function within a Multinational Company.
Knowledge of the reinsurance business would be a plus.
Skills
Ability to analyze financial data identify trends and make data-driven decisions.
Clear and effective communication with internal teams and external partners such as banks
Precision in managing financial records payments and reconciliations and ability to manage ad-hoc projects and changing priorities
Problem-Solving Abilities: Capability to effectively address and resolve payment issues discrepancies and other challenges.
Education
BAC 5: Business School specialising in Finance Masters degree (Economics Finance Treasury)
Digital skills:
Advanced Excel Skills: Strong capabilities in Microsoft Excel including the use of complex formulas pivot tables etc.
Proficiency with Financial Software: Experienced with Treasury Management Systems Enterprise Resource Planning systems like SAP would be a plus
Required Experience:
IC
About Company
As a leading global reinsurer, SCOR offers its clients a diversified and innovative range of reinsurance and insurance solutions and services to control and manage risk. Applying βThe Art & Science of Risk,β SCOR uses its industry-recognized expertise and cutting-edge financial soluti ... View more