Les offres de “Airbus”

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Middle-Office –Treasury Operational Risk manager (m/f)

  • CDI
  • Blagnac (Haute-Garonne)
  • Comptabilité / Contrôle de gestion

Description de l'offre

Middle-Office –Treasury Operational Risk manager (m/f)

Airbus Blagnac

Airbus is a global leader in aeronautics, space and related services. In 2016, it generated revenues of € 67 billion and employed a workforce of around 134,000. Airbus offers the most comprehensive range of passenger airliners from 100 to more than 600 seats. Airbus is also a European leader providing tanker, combat, transport and mission aircraft, as well as Europe's number one space enterprise and the world's second largest space business. In helicopters, Airbus provides the most efficient civil and military rotorcraft solutions worldwide.

Our people work with passion and determination to make the world a more connected, safer and smarter place. Taking pride in our work, we draw on each other's expertise and experience to achieve excellence. Our diversity and teamwork culture propel us to accomplish the extraordinary - on the ground, in the sky and in space.

Description of the job

A vacancy for a Middle-Office –Treasury Operational Risk manager (mf) has arisen within Airbus.

Profil recherché

Tasks & accountabilities

Corporate Finance is the in-house bank of Airbus Group, being in charge of FX, commodity, interest rate risks hedging, asset management as well as corporate funding.
The job holder will be working in the Middle-Office Department and will be responsible for:

o Operational Control:
o Ensure that all operating businesses have the appropriate risk mitigation processes and controls including technical implementation, maintenance and operation of a control system
o Continuously reviewed and streamlined operational control processes to increase efficiencies and performance with the objective of minimize operational risk, ensure compliance with internal policies and prevent potential losses
o Review departmental practices and procedures to identify areas of operational risk, capture and report on operational risks and incidents
o Regulatory Compliance:
o Ensure compliance with regulatory rules such as EMIR, Dodd-Frank Act etc.
o Monitor transaction reporting, including regular reconciliation of positions at trade repository and with the financial counterparts as well as static data control and maintenance
o Responsible for monitoring of upcoming regulatory changes
o Active support on technical implementation of related processes and workflows in case of new instruments or regulatory changes incl. documentation
o Contract and Referential Management:
o Management of all internal treasury contracts and agreements, such as cash pooling documentation, bank accounts opening forms, internal loan agreements.

This role will at beginning involve extensive travel for business in Europe and as such you must be able to travel accordingly.

Required skills

You will have the following skills and experiences:

·  3 to 5 years' experience within a financial institution or corporate treasury in the area of operational risk or similar area related to operations on financial markets
·  Familiar with processes, controls, and responsibilities associated with an institution acting on financial markets
·  Proven experience with OTC Derivatives and Securities
·  Understanding of the regulatory environment, ability to evaluate the implications of new regulation

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