Brussels
4 hours ago
Corporate Financing & Hedging Manager
Corporate Financing & Hedging Manager Location: Brussels, Belgium (Office based) Duration of Contract: 12 months (renewable) Start Date: ASAP Project: Various Work Schedule: Monday-Friday (Full time) Recruiter: Mariana Cortez
Our Company
Airswift takes pride in being an international workforce solutions provider.  With 9,000 contractors operating in over 70 countries, Airswift's geographical reach, experience and expertise across the oil and gas, energy, mining, infrastructure and technology sectors is unparalleled.

We are currently searching for a Corporate Financing & Hedging Manager
to be based in Brussels, Belgium (Office) and work in a 12 - month contract with the possibility of extension.

Job Description:
The Corporate Finance department manages the Group's cash flow and debt, acting as a service centre for the affiliates. It ensures that the Group can meet its financial obligations and has sufficient financial means to implement its strategy and investment programme.

The department maintains relationships with a diversified portfolio of financial counterparties, monitors market conditions and uncertainties. Corporate Finance is also responsible managing risks related to foreign exchange, interest rates, and counterparties.

Mission is in collaboration with the Corporate Finance Manager, you will be responsible for both long-term and short-term corporate and project financing. Also help maintain strong relationships with banks and investors. Additionally, you will manage hedging activities for the Company’s Group, and oversee treasury operations related to assets and liabilities.

Key Responsibilities:
Financing and Hedging Negotiation:
Collaborate with the Corporate Finance Manager to: Negotiate optimal terms for Financing arrangements, foreign exchange transactions and hedging instruments. Leverage expertise in sustainable finance and ESG-related instruments to support the Group’s transition and innovation goals. Propose tailored financing solutions for both core operations and new business initiatives. Monitor financial markets and assess risk exposure to inform hedging strategies. Debt and Equity Funding Execution:
Partner with the Corporate Finance Manager to: Access financial markets to secure funding aligned with the Group’s evolving needs. Build and maintain strong relationships with banks and institutional investors. Evaluate funding requirements and market conditions to determine the most suitable debt instruments. Design and structure innovative financial products when needed. Lead the execution of debt-raising processes and close transactions efficiently. Ensure full compliance with regulatory reporting and accounting standards. Hedging and Risk Management: Monitor interest rate, foreign exchange, and liquidity risks in collaboration with the back[1]office team. Recommend and implement appropriate hedging strategies to mitigate financial risks. Negotiate competitive terms for hedging and FX transactions. Treasury Reporting and Accounting: Oversee treasury reporting and accounting related to interest rate, FX, and liquidity positions. Supervise financing activities. Ensure accurate execution and documentation of hedge accounting in line with applicable standards. Stakeholder Management and Internal Support:
Together with the Corporate Finance Manager you will: Maintain an active network of financial market stakeholders, including banks and investors. Provide market intelligence and financing insights across the Group. Support internal departments with financial due diligence, particularly in M&A and strategic projects. Qualifications: Master's degree in Finance, Economics, or Business Engineering. Corporate and Project Financing: Proven experience in securing and managing corporate and project financing, including designing debt structure, and accessing capital markets. Hedging and Risk Management: Expertise in monitoring and managing interest rates, exchange rates, and liquidity risks, as well as negotiating hedging transactions. Proficiency in daily treasury activities. Strong analytical skills to evaluate financial data and provide accurate reporting. In-depth understanding of financial markets, including market conditions and trends. Comprehensive knowledge of various debt instruments and their applications. Excellent verbal and written communication skills to effectively interact with internal and external stakeholders. Strong negotiation skills to secure optimal financing and hedging conditions. Ability to work collaboratively with cross-functional teams and build strong partnerships. Ability to thrive in a dynamic and demanding environment. Ability to maintain and expand a network of relationships with banks, investors, and financial market players. A keen interest in the energy transition and related sustainable finance concepts. Fluency in English, Dutch, and/or French. The next step
We have an exceptional team in place, and we are pleased to be able to appoint a further person to our growing business. We are aware that you may not ‘tick all the boxes’, but if you believe you can genuinely offer some valuable skills and experience to our business, please in the first instance contact our recruitment partner Airswift.

For further information please apply with your updated CV or email Mariana Cortez at mariana.cortez@airswift.com

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