
Activez les alertes d’offres d’emploi par e-mail !
Générez un CV personnalisé en quelques minutes
Décrochez un entretien et gagnez plus. En savoir plus
A leading insurance company in Paris is seeking a dedicated financial activities specialist to monitor and enhance AXA SA’s financing performance. The ideal candidate will possess a Master’s Degree in Finance or Engineering and 2-5 years of experience in the financial industry. Key responsibilities include monitoring FX and IR exposures, supporting strategic financial planning, and collaborating with cross-department teams. The company promotes internal mobility and offers a flexible hybrid work model.
Why AXA? Every day, we work together for human progress by protecting what matters. A mission that puts a smile on your face and makes you want to get up in the morning!
One of the world's leading insurers in the protection of property, people and assets, AXA is 145,000 employees and contributors who are committed to our customers on a daily basis, 51 countries in which we distribute our products and services and more than 90 million customers who place their trust in us worldwide. As a responsible corporate citizen, AXA is committed to social and environmental causes on a daily basis. We are committed to an inclusive policy that recognizes and values individual differences. Do these ambitions speak to you? Then come and change the world with us!
The headquarters of the AXA Group (GIE AXA) brings together our corporate activities. It provides guidance and support to subsidiaries around the world, to ensure the coordination and monitoring of the Group's global strategy, the application of its standards, the consistency of commercial approaches and the sharing of best practices. The headquarters gathers approximately 1000 employees and is distinguished by its strong international culture (45 nationalities), which makes it a rich and stimulating place to work.
Within the Group, you will join DCFG department.
Being responsible for the steering and management of the Group’s financial resources (capital, debt, cash), the Group Corporate Finance & Treasury department (DCFG) plays a key role in the delivery of our strategic ambition.
The Group Capital and Cash Management (GCCM) team of approx. 15 works together to understand and address the expectations of our stakeholders (shareholders, debtholders, local supervisors, business partners) regarding the level and form of our capital, its expected return and the most appropriate Group financial structure. It optimizes the sourcing, allocation and use of capital and cash across the Group in order to support AXA and its individual businesses in reaching their ambitions, including maintaining an attractive capital management policy for the Group’s shareholders. It works to continuously grow cash generation from our operating units and increase cash remittance to the holding. Finally, it executes inorganic transactions to reallocate capital according to the Group’s strategic priorities.
Within DCFG, the AXA SA Financing & Hedging Activities team within the wider Group Capital and Cash Management team, leads the work on these major dimensions:
The position holder contributes to monitor the financial performance of AXA SA’s financial activities by:
Technical/professional and soft skills
In line with our commitments, we celebrate each new hire by taking action for global reforestation: we plant a tree for every recruitment. So, are you ready to apply?