Chief Executive - Officer - Portfolios Liquidity Operation (M/F)

Publiée le 18/02/2025

Randstad logo

Randstad


Temps de travail
Type de contrat
Langues parlées
EN
Expérience professionnelle

About the Opportunity:

We are searching for a highly motivated and experienced professional to join one of our prestigious clients, a leading organization in the financial sector. This is an exciting opportunity to make a significant impact on our operations and contribute to our continued success.

Reporting Line:

The incumbent(s) report to and work under the supervision of senior members of the Portfolios & Liquidity Operation Division.

Responsibilities:

  • Lead and Manage: Oversee the administration and execution of critical cash flow activities across various product lines. This includes, but is not limited to:

* Processing draw-downs and repayments for Private Equity funds.
* Managing guarantee calls and disbursement requests.
* Preparing accurate cash flow forecasts.
* Reconciling cash positions with intermediaries.

  • Strategic Planning: Develop and implement strategies to optimize cash flow management, ensuring alignment with organizational goals and financial objectives.
  • Team Leadership: Foster a collaborative and high-performing team environment, providing guidance, mentorship, and support to team members.
  • Risk Management: Proactively identify and mitigate potential risks associated with cash flow operations, ensuring compliance with regulatory requirements and internal policies.
  • Stakeholder Management: Cultivate strong relationships with internal and external stakeholders, including clients, intermediaries, and regulatory bodies.


Qualifications:

  • Education: University degree, preferably at postgraduate level, in Finance, Economics, Business Administration, or related fields.
  • Experience: A minimum of three (3) years’ relevant professional experience in financial administration, financial securities, mandate administration, finance, or audit. Prior experience within a similar business line is highly preferred.
  • Languages: Excellent knowledge of English, both oral and written. Proficiency in other EU languages is a distinct advantage.


Competencies:

  • Strategic Thinking: Ability to analyze complex financial data, identify trends, and develop innovative solutions to optimize cash flow management.
  • Leadership: Strong leadership skills with a proven ability to motivate and inspire a team to achieve high performance.
  • Communication: Exceptional communication and interpersonal skills with the ability to communicate effectively with both internal and external stakeholders.
  • Problem Solving: Analytical and problem-solving skills with a disciplined approach to troubleshooting and finding creative solutions.
  • Time Management: Proven ability to work within tight deadlines, prioritize tasks effectively, and manage multiple projects simultaneously.
  • Teamwork: Collaborative team player with the ability to work effectively within a diverse team environment.


Benefits:

  • Competitive salary and benefits package.
  • Opportunities for professional development and growth within a dynamic and rewarding work environment.
  • Be part of a prestigious and established financial organization with a global reach.


To Apply:
If you are a highly motivated and experienced professional with a passion for finance and a commitment to excellence, we encourage you to apply. Please submit your resume and cover letter to office@randstad.lu.

This revised job description provides a more comprehensive overview of the role, highlighting the key responsibilities and qualifications while emphasizing the benefits of working for a prestigious client. It also uses more engaging language and emphasizes the importance of leadership and teamwork.