© Air France
© Air France
Working in the Trading Room and the Finance and Treasury Department of the Financial Affairs Division, the Front Office Treasury Operator contributes to determining the hedging programme and operates on the markets to implement this strategy in accordance with the decisions of the Air France-KLM Group Risk Management Committee. On a day-to-day basis, he or she also manages Air France's and Air France-KLM's available cash.
Because assets under management and the financial stakes involved in risk management are substantial, this job position requires personal investment and rigour in the constantly changing financial market environment.