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Full time
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LU

Treasury Front Office Analyst (m/f/x)

LuxairLuxembourg🇱🇺LuxembourgPosted 10 Jul 2026

Why This Role Stands Out

This hybrid role offers significant growth potential within Luxair's reputable finance department, allowing you to develop expertise in FX hedging, cash management, and financial systems. You'll thrive here if you are a detail-oriented, proactive individual eager to contribute to treasury operations and collaborate with a dynamic team.

Quick Overview

Seniority
Mid Senior
Employment type
Full Time
Work mode
Hybrid
Location
Luxembourg, Luxembourg
KYCTreasury

Job Description

For our department Treasury Customer Accounting & Credit Control, we are looking for a (an):
Treasury Front Office Analyst

Main duties:

  • Be responsible for certain front-office activities such as:
    - Follow-up and processing of group FX hedging transactions
    - Investment of the excess cash from the main entity of the group in pre-approved investment vehicles like money market, deposits, others
  • Maintaining the group electronic banking platform
  • Work in close contact with treasury back-office for all settlement and treasury payment needs as well as for leading automations where possible and for optimisation of treasury workflows
  • Actively participate to the month end closing process by ensuring Accurate execution of treasury transactions: such as derivative valuations and mark to market valuations, in close contact with the VP of Finance
  • Be a key point of contact with all partner banks of the group for treasury front office operation matters ensuring good and smooth communication
  • Address the compliance and KYC requests from banking partners on a timely basis
  • Timely and accurately prepare and analyse the monthly treasury reporting
  • Analyse and maintain treasury KPIs: bank charges and commissions, exposure to bank partner, allocation of fx trades and KPIs related to financial investments
  • Assist the Treasurer in various projects, such as:
    - Selection and set up of the treasury management systems
    - Development of cash forecasts to anticipate challenges or opportunities arising from excess or insufficient cash
  • Future tasks: oversee the administration of intercompany funding and loan payments of the Luxair Group

Required profile:

Minimum required criteria:

Bachelor or Master Degree in finance, accounting, economics, or similar
A first experience in treasury is considered a plus
Excellent verbal and written communication skills in English is a must. Knowledge of French or German is an asset
Very strong Excel skills, Business warehouse knowledge is a plus

Desired or to be acquired criteria:

Show initiative by identifying what needs to be done and taking personal responsibility when acting
Strong analytical and problem-solving skills
Demonstrate team player spirit
Show efficiency by juggling with priorities and removing obstacles to get the work done

The ideal candidate:

Any other language is a plus

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