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Air Liquide is seeking an early-career Treasury professional to support cash management, liquidity, and risk activities. The role will involve assisting with cash flow planning, FX hedging, and month-end closings within a global finance environment.
The candidate will contribute to financing analyses, capital needs assessments, and collaboration with banks to optimize funding. The position emphasizes growth, teamwork, and handling sensitive information with discretion.
Contribute to all or part of Treasury, Payments & Cash Management activities at an Entity/cluster/GBS/CoE/GBU/HO level. Also responsible for Financial Risk Management (Financing, Foreign Exchange, Banking, Cash flow...).
Our Differences make our Performance
At Air Liquide, we are committed to build a diverse and inclusive workplace that embraces the diversity of our employees, our customers, patients, community stakeholders and cultures across the world. We welcome and consider applications from all qualified applicants, regardless of their background. We strongly believe a diverse organization opens up opportunities for people to express their talent, both individually and collectively and it helps foster our ability to innovate by living our fundamentals, acting for our success and creating an engaging environment in a changing world.