TASK RESPONSIBILITIES: Cargolux''s Group Treasury is looking for a Treasury Analyst to join the team. The overall purpose and objective of this position is to assist the team and ultimately the Group Treasurer by performing cash management, foreign exchange and commodities hedging transactions in accordance with the cash management and risk management policies and procedures, as well as to contribute to Treasury day to day operations, projects, reporting and analysis requirements.The position reports to Cargolux Group Treasurer. The Treasury Analyst will be responsible and will support with the following tasks: Maintain day to day operations within deadline and agreed framework, (e.g., control of cash positions, reporting, transfer execution, back up) Execution of cash investment, spot & derivatives in foreign exchange, commodities Prepare and assist with various KPIs report preparation and file improvement Administer and follow up existing Letter of Credits, Security Deposits, Bank guarantees Perform KYC documentation updates and follow up, for e.g., account opening/closing, payment platforms accesses monitoring Maintain ISDA agreements and ISDA framework Support the team on internal financial risk models and tools future development Daily monitoring of price movements, identify and prepare comments of economic trends for FX, Money Markets and Oil markets Perform administrative tasks when necessary Participate in various assigned projects: Contribute to applicable system implementation ESSENTIAL REQUIREMENTS FOR THE POSITION: Masters degree in finance withina risk management track, asset management and/or financial/capital markets 3 to 5 years experience in a Corporate Treasury and/or financial industry Experience in project management (e.g. treasury management system, swift), front office transactions Experience in cash pooling and tax Knowledge of Market regulations and applicable frameworks Advanced knowledge of excel and programming language such as Macros, VBA (Visual basic), or SQL (Structured Query Language)) Certifications such as CFA, FRM), ACI, ACT or ICMA) will be considered as an advantage. Knowledge of Bloomberg and/or LSEG Eikon, FxAll Fluent in spoken and written English; anyadditional languages are considered an asset WORKING CONDITIONS: Full time, permanentposition based in our Luxembourg HQ. Flexibility with working hours is required A certificate of good conduct (Casier Judiciaire, PolizeilischesFuhrungszeugnis) will be required in case of positive selection The internal title will be "Treasury Specialist" Some of the benefits we offer: Flexible working hours and a work from home polic Profit sharing scheme (according to our Collective Work Agreement) 27 vacation days and additional 4 special paid off days (incl. annual vacation allowance) Numerous discounts in the wider region as well as selected travel discounts Trainings and career mobility opportunities within the various departments Onsite parking and cant