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Internship : Enterprise Risk Management - F/H

Technip Energies
FranceinternshipVerifiedPosted 22 Jul 2024

About the role

<p><span><b><u>Technip Energies - Together, pushing back the boundaries to shape a sustainable future</u></b></span></p> <p> </p> <p><span>Technip Energies is a leading engineering and technology company serving the energy transition, with leading positions in Liquefied Natural Gas (LNG), hydrogen and ethylene, and a strong presence in the growth markets of blue and green hydrogen, sustainable chemistry, floating offshore wind turbines and CO2 capture and storage. The company benefits from its solid project delivery model, supported by an extensive offering of technologies, products and services.</span></p> <p> </p> <p><span>Backed by our commitments to Diversity &amp; Inclusion and Sustainable Development (here), with a presence in 35 countries, our 15,000 employees are fully committed to bringing our customers' innovative projects to life, pushing back the boundaries of what is possible to accelerate the energy transition to a better future.</span></p> <p> </p> <p><span>Technip Energies is a leading engineering and technology company dedicated to energy transition.</span></p> <p> </p> <p> </p> <p><span><b><u>Job Purpose:</u> </b></span></p> <p><span><b>Manage interest rate risk, Foreign Exchange risk and cash investments. Execute financial markets derivatives for all centralized entities of the group, including Technip Eurocash (acting as Group “internal bank”). Advise on Foreign Exchange risk from bid stage to award for proposals and projects. Manage and execute short-term deposits for TEN entities including joint ventures. Issuance of new commercial papers for Technip Eurocash. Analyze, consolidate and produce long-term cash flow forecasts/reports addressed to Group Treasurer, CFO and audit committee.</b></span></p> <p> </p> <p> </p> <p><b><u>Key Interactions</u>: </b></p> <p> </p> <ul> <li>Reports to Head of Front Office </li> <li>Internally: Corporate Cash management team, regional treasurers, Local treasurers, Financial Controllers, Estimation, Consolidation, Accounting, IT &amp; Business Transformation, Middle Office, Corporate Financing and Financial Risks &amp; Financing Solutions Departments</li> <li>Externally: Banks, Brokers, Dealers</li> </ul> <p> </p> <p> </p> <p> </p> <p><b><u>Main Accountabilities:</u></b></p> <p> </p> <ul> <li><span>Execute at best prices Foreign Exchange derivatives (Spot, Forward, Swap, Non-Deliverables Forward) on behalf of the internal bank of the Group or for JVs, by voice or with trading platform (FX All),</span></li> </ul> <p> </p> <ul> <li><span>Execute short-term deposits on behalf of the internal bank of the Group or for Joint Ventures,</span></li> </ul> <p> </p> <ul> <li><span>Ensure Group liquidity with issuance of Commercial Papers: daily follow-up of the Interest rates markets, put into competition brokers and banks to get the best yield for TEN,</span></li> </ul> <p> </p> <ul> <li><span>Assessment of Foreign Exchange risk at bid stage: discussion with Estimation team, review of the contract qualifications (contractual terms) on Foreign Exchange exposure, studies and bank meetings to collect information for countries where there are Foreign Exchange regulations and trapped cash. Calculation of Foreign Exchange provisions to be integrated in the final price to the client, according to an internal model (Value at Risk),</span></li> </ul> <p> </p> <ul> <li><span>Foreign Exchange pricing using Financial Markets tools (Reuters, Bloomberg) for regional treasurer teams requirements regarding their Foreign Exchange operations (pricing for new forward, rollover/rollback/liquidity swaps),</span></li> </ul> <p> </p> <ul> <li><span>Foreign Exchange internal Training: Estimation team, Commercial team, regional treasury team, Financial Controller team,</span></li> </ul> <p> </p> <ul> <li><span>Strategic hedge advisory (Foreign Exchange Options) addressed to Director Treasury &amp; Financing and VP Treasury &amp; Financing,</span></li> </ul> <p> </p> <ul> <li><span>Advising on all Foreign Exchange subjects and spreading Foreign Exchange good practices for regional treasurers and Financial Controllers,</span></li> </ul> <p> </p> <ul> <li><span>Interaction with Middle Office/Back Office/Corporate Cash Management and Shared Treasury Centers relative to Foreign Exchange operations control/confirmation/settlements,</span></li> </ul> <p> </p> <ul> <li><span>Regular contacts with banks for all subjects relative to Financial Risks and market opportunities: Foreign Exchange, Interest rates, Deposits and Short-term Financing. Contributing to maintain and consolidate global banking relationships,</span></li> </ul> <p> </p> <ul> <li><span>Training of newcomers in regional treasury teams for systems/ tools used in Treasury management: Hyperion Oracle, Smartview, TMS Diapason,</span></li> <li><span>Determination of the Standard Interest rates at beginning of each year (used by Financial Risks &amp; Financing Solutions teams),</span></li> </ul> <p> </p> <ul> <li><span>Writing/updating Gro

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