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Financial Operations Control Specialist - Relations Investisseurs et Communication Financiere H / F

CMA CGM

Marseille

Sur place

EUR 50 000 - 70 000

Plein temps

Il y a 7 jours
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Résumé du poste

A multinational shipping company in Marseille is seeking an Investor Relations professional to manage relationships with investors and prepare financial communication materials. The ideal candidate has a Master's degree in Finance, 3+ years of experience, and strong financial analysis and communication skills. This is an excellent opportunity to join a dynamic team with exposure to the finance sector.

Qualifications

  • 3+ years of professional experience in banking, consulting, or a similar position.
  • Strong command of financial analysis and financial modeling in Excel.
  • Fluent in English; proficient in financial English.

Responsabilités

  • Manage relationships with investors and rating agencies.
  • Prepare financial communication materials.
  • Monitor the bond market and analyze relevant information.

Connaissances

Financial analysis
Financial modeling in Excel
Communication skills
Negotiation abilities
Organizational skills
Knowledge of capital markets

Formation

Master's degree in Finance
Description du poste
Overview

YOUR ROLE :

Reporting to the Director in charge of Investor Relations and Financial Communication, you will join a multidisciplinary department within the Group Finance Division (M&A / Financial Communication / Investor Relations / Energy Funds), with exposure to both internal Finance teams (management control, financing, business planning) and external departments (CSR, R&D, Communication, Operations, Digital).

Responsibilities
  • Contribute to the day-to-day management of relationships with investors (bondholders and prospects), financial and extra-financial rating agencies, and both sell-side and buy-side bond analysts.
  • Participate in the preparation of financial communication materials for quarterly and annual results (internal and external presentations, press releases, MD&A, Q&A, annual report, etc.) and for ad hoc operations (M&A transactions, bond issuances, etc.).
  • Manage the investor relations website and contribute to the preparation of quarterly investor calls led by the CFO, with support from the Digital team and the department assistant.
  • Collaborate in interactions with rating agencies; participate in the annual review and the development of communication strategies. Review and comment on rating reports. Monitor peer ratings and coordinate with the business plan team on financial trajectory.
  • Monitor the bond market for our securities: track news flow, announcements from key peers (both equity and debt), and analyst reports. Summarize and share the most relevant insights. Beyond the bond market, contribute to monitoring sector-related analysis and, in coordination with the economist and controlling / business plan teams, feed benchmarking efforts with analyst information.
  • Participate in the preparation of bond issuances: monitor issuance windows, structure terms, draft documentation (prospectus), coordinate bank presentations, and develop marketing messages.
  • Contribute to the daily monitoring of the Group's listed holdings: analyze results, news flow, and stock performance; when applicable, prepare briefing notes for the Group's representative on the board of directors; and, if needed, support buy / sell operations in coordination with legal teams and under the supervision of the manager.
Qualifications
  • Master's degree in Finance, with at least 3 years of professional experience in banking, consulting, or a similar position
  • Strong command of financial analysis and financial modeling in Excel
  • Excellent oral and written communication skills, along with negotiation abilities to effectively engage partners and investors
  • Fluent in English; proficient in financial English (ability to write, argue, and support complex financial reasoning)
  • Strong organizational skills and ability to manage priorities; rigor and capacity to work under pressure (including tight deadlines); ability to work in project mode
  • Curious mindset and knowledge of capital markets

Come along on CMA CGM's adventure !

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