Under the leadership of the Group COO & CEO of AXA GO, AXA Group Operations covers the following divisions :
- Group CIO
- Group Technology Operations
- Group Security
- Group Emerging Data & Technology
- Group Procurement & Sourcing
- Group Operations Transformation
- Strategic Programs, Group Operations Finance
- GO General Secretary and Risks
- AXA GO BO (legal entity : AXA Business Services)
AXA Group Operations operates across more than 15 countries; and comprises around 7000 staff members.
Your place in the organization
The division
You will join AXA Group Operations Finance. This division drives and monitors Group Operations strategic plan, sets budgets and efficiency targets, follows up and controls actuals versus budget targets, while providing timely, accurate and adequate financial information to enable thorough decision-making and ensuring compliance with local regulations.
Our main missions :
- Drive and monitor AXA GO strategic plan, budgets and efficiency targets. Track and control actuals compared to budget targets
- Establish and maintain cost accounting for AXA GO
- Define mechanisms for cost recharging to Entities, set rules to account for the financial implications of services provided, and monitor cash management
- Prepare and provide financial statements in compliance with regulatory requirements, ensure adherence to local and international tax regulations
- Coordinate and manage M&A projects (divestitures, internal transfer, business transfer) at AXA GO level
Our division is composed of several departments with respective accountabilities :
- Controlling
- Commercial Finance
- Accounting
- Corporate Finance
- Finance Transformation
Within the Accounting Department, Central Treasury is part of Accounting Consolidation team, which gathers two other teams with transversal missions across AXA GO entities (Operational Accounting and IFRS Consolidation).
Overview of the job
The Treasury Expert will be responsible for performing day-to-day central treasury and financing activities for AXA GO. This includes playing a critical role in overseeing the company’s cash and liquidity, ensuring the company has sufficient working capital to support its operations and strategy.
Main missions
Cash & Liquidity Management
Control bank account balances and monitor global cash positions on a daily basis
- Administrate the internal cashpooling to ensure optimal liquidity between funding requirements and investment opportunities
- Execute monthly intracompany netting campaigns
- Produce accurate mid to long term cash forecasts in collaboration with various departments
Develop statistical cash forecasting models
- Administrate Treasury Management Systems (Kyriba and Anaplan) as well as web banking tools
- Analyze balance-sheet, compute financial ratios and provide evolution explanations
Elaborate action plan if needed
- Contribute to the definition of an optimal financial structure and refinancing strategy
- Produce quarterly cash flow statements and dividends distribution proposals
- Collaborate with Accounting teams to explain Financial Result main drivers during quarterly closings
Financial Market Risk Management
- Determine FX risk exposures and understand drivers of the exposures
- Propose and implement hedging strategies related to FX risks
- Monitor strategies and propose alternatives when needed
Treasury & Financing processes
- Ensure compliance with Group Standards and Internal Financial Control framework
- Prepare and lead internal meetings (incl. Monthly Treasury Committees, Quarterly Treasury Steering Committees and bi-annual Capital Allocation meetings)
- Participate to S / 4HANA implementation and interfacing with Kyriba
Collaboration and support to diverse stakeholders
- Internally :
- Spread the cash monitoring culture and provide trainings across AXA GO entities
- Support for Financing topics
- Support to find the best financing solutions
- Support for financial contract negotiations
- Externally :
- Maintain a strong relationship with financial institutions such as banks or financing / lessor companies
- Develop partnership with treasury software providers to be aware of technology developments
Your Profile
Education & Experience
Education
Master Degree in Finance (Business / Engineering school or university)
Experience
Minimum of 6 years of professional experience in Treasury
Skills
Technical skills
Solid knowledge of treasury management
Understanding of general accounting principles and financial analysis
Advanced proficiency with Microsoft Excel and Powerpoint
Knowledge of Kyriba and VBA programming appreciated
Fluent English and French
Ability to drive results in a fast-paced environment and to work well under pressure
Excellent interpersonal skills and ability to interact with different stakeholders
Discretion and confidentiality regarding sensitive information
Ability to work independently and overcome objections
Resourceful, problem solver with a "can-do" attitude
Team spirit and strong collaboration skills