Corporate Finance Back Office Manager

il y a 3 semaines


Brussels, Belgique Fluxys Temps plein

**Will you help us change the world?**:
Fluxys is an international energy infrastructure group with 1,300 employees active in gas transmission & storage and liquefied natural gas terminalling.

As a purpose-led company, we’re committed to fast-track the shift to a carbon neutral world. We explore new technologies and invest in infrastructure to accommodate hydrogen, biomethane, CO2 and other molecules for a climate neutral future.

For our headquarters in Brussels (see the map here) we’re looking for a Corporate Finance Back Office Manager (M/F/x).
- Working for a Transport System Operator, such as Fluxys, is the perfect place to change the world- Baptiste Costa-Marini, Innovation Business Developer

**Job**
**purpose**:
As a Corporate Finance Back Office Manager, you will monitor the financial risk of Fluxys Group and ensure that financial transactions are executed, recorded correctly and reported in accordance with financial policies, regulations and delegations. You will manage the Group’s payment process, produce creditworthiness analysis and maintain a correct and up-to-date Equity register.

**Your**
**responsibilities**:
Middle and back-office administration and processes management
- Control middle and back-office processes (petty cash management, AP payments, accounting and administration) in compliance with the Group PoA delegations
- Control, validate and ensure the quality of the administrative and accounting processing of all financial transactions carried out by the Corporate Finance department (cash transfers, CP management, guarantees, market transactions, debts, hedging, etc.)
- Monitor the administration of debts and ensure cost effective banking transactions
- Carry out equity administration

Credit rating monitoring
- Participate in the development of the credit risk policy
- Monitor group credit rating profile and perform self-assessment
- Perform counter-party credit risk analysis

Analysis and reporting
- Produce compliance and management reporting and analysis on Middle and Back Office activities
- Produce budgets, forecasts and reports on actuals and key risk/treasury figures in accordance with applicable regulations (EMIR, etc.) and internal principles

Team management
- Lead the Middle and Back office team to achieve their objectives by coaching, mentoring and developing talents

**About**
**you**:
As a purpose driven company, we foster agility and open-mindedness. Are you curious and astute? Do you approach your projects in an innovative way? Then we're keen to meet you

To succeed in this role, you will need:

- A master's degree in finance, economics or business engineering
- More than 5 years of relevant experience in treasury management, either in a bank or in a corporate back-office
- In-depth knowledge of financial analysis, risk management and reporting
- Experience in leading a team
- Strong analytical skills, accuracy and attention to detail
- Good organisational and planning skills
- High commitment, flexibility and results orientation to work in a demanding and changing environment
- Self-reliance and resourcefulness
- Proficiency in MS Office, in particular Excel
- Affinity with IT and experience in implementation of treasury tools would be a plus
- Knowledge of SAP and/or FIS Integrity would be an asset
- Excellent command of Dutch and French with good knowledge of English

**Why**
**should**
**you**
**apply?**:

- Contribute and innovate towards a **carbon-neutral world**.
- Develop and shape a brilliant career in a **fast-growing international group**.
- Showcase your strong appetite to contribute towards an array of **dynamic projects** that challenge your intellect.

Apart from that, we offer some interesting general conditions.

Healthy work life balance

Competitive salary

Learning and development opportunities

**Sounds enticing?**:



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