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Treasury & Financing Manager

data4 · Luxembourg

New
CDI Senior 🇬🇧 English
Debt financing Lender interaction

Job description

About the role

Reporting directly to the Group Head of Treasury & Capital Markets, you will be a key contributor on financing and risk‑management topics while supporting cash‑management activities. You will work in a lean, international environment with high exposure to strategic financial matters and participate in treasury transformation projects.

Key responsibilities

  • Execute new financing transactions and manage existing debt facilities, including covenant monitoring and lender requirements.
  • Monitor and analyze hedging portfolios (interest rate, FX, commodities) and propose appropriate hedging strategies.
  • Oversee cash positions, liquidity, cash forecasting, intercompany funding and short‑term investments.
  • Maintain day‑to‑day relationships with banking partners, manage account opening/closing and monitor bank guarantees.
  • Produce weekly and monthly cash, debt, intercompany loan and cash‑forecast reports for group financial reporting.
  • Administer treasury systems (Kyriba, SWIFT, Connexis), configure user access, and support audit activities.
  • Ensure compliance with internal controls, bank mandates, and treasury policies across subsidiaries.
  • Participate in strategic treasury projects such as TMS enhancements, reporting improvements and financing initiatives in new markets.

Required profile

  • Minimum 10 years of corporate treasury or consulting experience with strong exposure to financing and capital markets.
  • Fluent English is mandatory; French is a strong plus.
  • Strong analytical, proactive and autonomous working style with a team‑player mindset.
  • Ability to interact with multiple stakeholders and manage complex projects.

Required skills

  • Debt financing and lender interaction expertise.
  • Knowledge of interest‑rate and FX hedging instruments.
  • Experience with Kyriba Treasury Management System.
  • Familiarity with ERP environments (Sage is a plus).
  • Bank connectivity skills (SWIFT, EBICS, etc.).
  • Understanding of IFRS reporting requirements for treasury activities.

Questions fréquentes

Le salaire n'est pas communiqué publiquement par le recruteur. Vous pouvez postuler et négocier directement avec data4.
Cliquez sur "Postuler maintenant" en haut de la page. Vous pouvez importer votre CV en 1 clic — Jobiglo extrait automatiquement vos informations et postule pour vous.
Le contrat proposé est un CDI basé à Luxembourg.
Source : ats:bamboohr

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Published 5 hours ago

Expires 1 month from now

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data4

Luxembourg