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This job expired on 22/09/2026. It no longer accepts applications.
Specialist Treasury
Cargolux Airlines · Luxembourg
Job description
About the role
We are looking for a Specialist Treasury to join our corporate treasury team at our Luxembourg headquarters. The role involves managing daily cash operations, supporting financial risk models and providing insightful market analysis in a fast‑paced environment.
Key responsibilities
- Control cash positions, manage cash transfers and prepare related reporting.
- Execute treasury transactions such as investments and foreign‑exchange trades.
- Prepare daily mark‑to‑market, executive committee and KPI reports.
- Administer standby letters of credit, security deposits and bank guarantees.
- Oversee KYC documentation workflows for account opening/closing and payment platform access.
- Maintain ISDA agreements and monitor related documentation.
- Enhance Excel and PowerPoint models, including macros, VBA and SQL data imports/exports.
- Support internal financial risk models and tools development.
- Monitor currency pair movements and comment on economic trends for FX and money markets.
- Provide backup for team members as needed.
Required profile
- Master’s degree in Finance with a focus on risk management, asset management or capital markets.
- 1–3 years of experience in corporate treasury or a financial institution.
- Professional qualifications such as CFA, FRM, ACI, ACT or ICMA are a plus.
- Knowledge of market regulations (EMIR, MiFID) and trade finance processes.
- High integrity, confidentiality and ability to work in a team‑oriented, fast‑moving environment.
- Fluent in spoken and written English; additional languages are an asset.
Required skills
- Advanced Excel (including macros, VBA and SQL integration).
- Proficiency with PowerPoint for reporting.
- Strong analytical and problem‑solving abilities.
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Cargolux Airlines
Luxembourg
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