Funding Officer, Debt Capital Markets
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A.P. Møller – Mærsk is looking for an ambitious and energetic Funding Officer to join the Debt Capital Markets (DCM) team. DCM is part of Treasury & Risk (T&R) in the corporate head office of A.P. Møller - Mærsk.
The wider T&R team employs approximately 50 professionals of 12 nationalities. T&R is comprised of the following sections: Financial Reporting & Control, Funding & Markets, Global Cash Management, Global Risk Management and APMT Treasury.
You will join the DCM team, which is responsible for managing APMM’s debt capital markets and corporate financing portfolios as well as managing the interest rate risk in the company’s debt portfolio of about 9bn USD. In addition, the team is responsible for updating and developing management reports relating to the debt portfolio incl. measuring and monitoring market risk.
The position will give you opportunity to advance your knowledge within debt capital markets, interest rate risk management, funding strategy and bond/loan documentation. Through the job you will gain valuable insights into how the financial markets work and how to bridge the gap between theory and practice.
The position can be an excellent steppingstone for a career in treasury and your development will benefit from peer and senior inspiration and feedback. As you grow in the role, there will be a clear internal career path and possibilities to advance to a number of other positions within the company.
At Maersk we value the diversity of our talent and will always strive to recruit the best person for the job – we value diversity in all its forms, including but not limited to: gender, age, nationality, race, sexual orientation, disability or religious beliefs.
We are proud of our diversity and see it as a genuine source of strength for building high performing teams.
Responsibilities will include the following:
• Taking responsibility of clearly defined work streams in connection with new bond issuance or raising new corporate debt incl. designing and executing market hedge strategies.
• Work actively with the debt and derivatives portfolio to minimize our funding cost, while reflecting our market view and risk appetite.
• Updating and developing reports relating to the debt portfolio incl. measuring and monitoring market risk by utilizing and leveraging our brand-new treasury system Findur.
• Over time we expect that you will be working more independently in all the steps when raising new funding.
• Never forgetting that you work in a service function, whose reason for being is to provide the company with financing, liquidity and balanced risk.
• Be prepared to take on challenges outside your established job description incl. ad hoc analysis and tasks.
We are looking for a ambitious market professional, ideally with 2-5 years of relevant treasury experience from a corporate and/or bank.
You hold a relevant academic degree, preferably a Master’s in finance, economics or similar.
Furthermore you:
• Are able to quickly take in and process information and draw conclusions but are also able to communicate complex matters in a way that people can understand
• Thrive on having many stakeholders and people asking things from you
• Are a no-quitter, you take initiatives and get things done and can drive a project or task across the finish line, even when facing obstacles
• Have excellent Excel and PowerPoint skills. Experience with VBA and Power BI is a plus but not a requirement.
The wider T&R team employs approximately 50 professionals of 12 nationalities. T&R is comprised of the following sections: Financial Reporting & Control, Funding & Markets, Global Cash Management, Global Risk Management and APMT Treasury.
We offer
You will join the DCM team, which is responsible for managing APMM’s debt capital markets and corporate financing portfolios as well as managing the interest rate risk in the company’s debt portfolio of about 9bn USD. In addition, the team is responsible for updating and developing management reports relating to the debt portfolio incl. measuring and monitoring market risk.
The position will give you opportunity to advance your knowledge within debt capital markets, interest rate risk management, funding strategy and bond/loan documentation. Through the job you will gain valuable insights into how the financial markets work and how to bridge the gap between theory and practice.
The position can be an excellent steppingstone for a career in treasury and your development will benefit from peer and senior inspiration and feedback. As you grow in the role, there will be a clear internal career path and possibilities to advance to a number of other positions within the company.
At Maersk we value the diversity of our talent and will always strive to recruit the best person for the job – we value diversity in all its forms, including but not limited to: gender, age, nationality, race, sexual orientation, disability or religious beliefs.
We are proud of our diversity and see it as a genuine source of strength for building high performing teams.
Key responsibilities
Responsibilities will include the following:
• Taking responsibility of clearly defined work streams in connection with new bond issuance or raising new corporate debt incl. designing and executing market hedge strategies.
• Work actively with the debt and derivatives portfolio to minimize our funding cost, while reflecting our market view and risk appetite.
• Updating and developing reports relating to the debt portfolio incl. measuring and monitoring market risk by utilizing and leveraging our brand-new treasury system Findur.
• Over time we expect that you will be working more independently in all the steps when raising new funding.
• Never forgetting that you work in a service function, whose reason for being is to provide the company with financing, liquidity and balanced risk.
• Be prepared to take on challenges outside your established job description incl. ad hoc analysis and tasks.
We are looking for
We are looking for a ambitious market professional, ideally with 2-5 years of relevant treasury experience from a corporate and/or bank.
You hold a relevant academic degree, preferably a Master’s in finance, economics or similar.
Furthermore you:
• Are able to quickly take in and process information and draw conclusions but are also able to communicate complex matters in a way that people can understand
• Thrive on having many stakeholders and people asking things from you
• Are a no-quitter, you take initiatives and get things done and can drive a project or task across the finish line, even when facing obstacles
• Have excellent Excel and PowerPoint skills. Experience with VBA and Power BI is a plus but not a requirement.
Information og data
Denne ledige stilling har jobtypen "Finansmedarbejder", og befinder sig i kategorien "Økonomi og jura".
Arbejdsstedet er beliggende i København K.
Jobbet er oprettet på vores service den 24.8.2020, men kan have været deaktiveret og genaktiveret igen.
Dagligt opdateret: Dette job opdateres dagligt ud fra jobudbyderens hjemmeside via vores søgemaskineteknologi og er aktivt lige nu.
- Finansmedarbejder
- København K
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