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Issy-les-Moulineaux, France

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REF5253Y

Middle Office Analyst (F/M/X)

Region

Accor HQ


Company Description

Accor is a global leader in hospitality, present in 110 countries with 5,487 hotels and 10,000 restaurants and bars. The group operates one of the most diversified integrated hotel ecosystems in the sector, thanks to more than 40 brands that include luxury and premium brands, midscale and economy offers, exclusive lifestyle concepts, entertainment and leisure venues, clubs, restaurants and bars, private residences, shared accommodations, concierge services, and co-working spaces.


Job Description

Within the Group's Treasury Department, the Middle Office plays a key role in control and analysis of financial operations and ensure the proper application of the group treasury policy. You will be joining a team of 20 people interacting on a daily basis with the Front Office, Back-Office/Cash Management as well as the Accounting department. You will assist the MO Director in enabling the financial reports (FX, Debt, Liquidity, Guarantees).

Main responsibilities:

Control:

  • Control of financial risks related to treasury operations (financing, investments, cash management), market data, and monitoring of foreign exchange positions
  • Communicate  the treasury guidelines for all the  Finance team through the Group Treasury Policy
  • Ensure the Group Treasury Policy is properly implemented 
  • Assist the SVP Treasurer in the KYC process with the banks

Analysis & reporting:

  • Preparation of monthly Debt, Cash flow, Cash reportings
  • Assist the MO Director in the preparation of the quarterly Treasury Committee with the Group CFO
  • Produce the financial data required for accounting closings (valuation of market transactions, efficiency tests, accounting/middle reconciliation) and assist the accounting and consolidation teams as well as the statutory auditors.

Guarantees:

  • Monitoring and management of the Group internal and external guarantees

 

Main complexity / critical issues in the job

 

  • Managing multiple priorities between operational controls, reporting obligations, and transversal projects
  • Ensuring accurate and transparent communication with internal or external counterparties
  • Strong attention to detail while maintaining a global view of operational and financial impacts

 


Qualifications

Typical background

Master degree, business school or university with a major in Finance or Treasury Management

Fresh graduate and up to 2-yr experience in an international group

 

Competencies

  • Knowledges in Corporate Finance
  • Strong interpersonal and communication skills, analytical mindset, collaborative-driven spirit
  • Fluent in French and English

Additional Information

Key interactions

Internally:

  • Treasury functions (Back Office, Cash Management, Front Office, IT Treasury)
  • Group controlling, accounting, consolidation, internal control and tax departments
  • Local finance teams

Externally:

  • Banks, software providers, external auditors

 

对于雅高集团来说,多元与包容意味着欢迎每一个人,并尊重他们的差异,我们仅根据素质和技能来优先提供就业和发展机会。我们的目标是提供有意义的就业机会,一个温暖和包容的文化,优秀的工作条件,并促进所有人的发展,包括残疾人士。

在申请时,请不要犹豫告诉我们您可能需要的任何特殊需求,以便我们考虑这些需求。

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