EDF Trading North America, LLC is a major participant in wholesale energy markets and delivers customized energy solutions for our customers.
We operate in every market and provide coast to coast coverage of financial and physical products in power, natural gas and NGLs, environmental products and financial crude oil products. We provide our customers with products and services that deliver access to markets, optimize their energy portfolio, hedge risk and manage assets. Our Wholesale Business operates throughout the value chain in the North American wholesale power markets and we are one of the leading wholesale natural gas marketers. Additionally, we provide environmental, congestion management and value added derivative products. With extensive pipeline agreements, we can manage natural gas offtakes, deliveries, capacities and supply anywhere across the continent.
EDF Trading North America, LLC is part of the EDF Group, a global leader in low-carbon energies.
Job Description:
The Treasury Specialist will manage Global North America Treasury projects and key NA projects (optimization initiatives) as well as assist in managing business operations. This position will also be expected to assist in numerous global initiatives including a Treasury Management System implementation, business process automation, and bilateral margining. The incumbent is responsible for daily operations including, but not limited to, maintaining operations focused around key areas (Cash Management / Liquidity, Collateral, Banking Relationships, FX and IR management, funding charges and allocation, and strategic optimization projects).
Responsibilities:
Requirements:
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Bachelor’s degree in Finance, Accounting or other business-related area
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Minimum of 7 years working experience in Treasury or other Trading centric functions like Credit, Product Control or Risk.
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Highly effective in project management techniques and organization change.
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Highly proficient in MS PowerPoint, Word, and Excel.
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Strong analytic skills and ability to research.
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Strong written and interpersonal communication skills.
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Strong verbal and effective communication skills.
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Strong sense of maintaining a timely cash management process.
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Ability to prioritize and handle multiple responsibilities, with attention to detail and accuracy.
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Experience in maintaining and managing positive relationships with internal customers and external vendors and consultants.
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Capable of explaining complex ideas to all levels within the organization.
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Confident, articulate and able to successfully collaborate with others and able to interact across all functions and levels within the company.
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Experienced interacting and communicating effectively with senior management and external stakeholders;
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Experience working with bank platforms and/or TMS.
Preferred Skills:
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MBA or an advanced degree in business, management, or finance.
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Certified Treasury Professional preferred.
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Experience working closely with the commercial and trading teams to add value and dynamic business solutions
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Experience working in a complex global business environment with technical treasury and business issues
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Previous experience directing others, directly and indirectly.
Note: EDF is an EEO employer
We are an equal opportunity employer and all qualified candidates will receive consideration for all positions without regard to race, color, age, religion, sex (including pregnancy), sexual orientation, gender identity, national origin, veteran status, disability, genetic information, or any other characteristic protected by law.
EDF participates in the E-Verify Employment Verification Program.
EDF is not currently accepting unsolicited resumes from search firms. Regardless of past practice, all resumes submitted by search firms to any employee at EDF via-email, the Internet or directly to hiring managers at EDF in any form without a valid written agreement in place for that specific position will be deemed the sole property of EDF. As a result, no fee will be paid in the event the candidate is hired by EDF.