© Air France
© Air France
© Air France
Are you passionate about financial markets and cash flow management? Join Air France as a Front Office Treasury Operator and play a central role in the financial decisions of an international company.
Working in the Trading Room, you will play a key part in the day-to-day cash flow management for Air France and the Air France-KLM Group. Your mission: optimize financial resources, limit market risks, and contribute to the implementation of hedging strategies in conjunction with the Risk Management Committee.
As a Front Office Treasury Operator, you will join a dynamic and committed team. With significant financial stakes and a constantly changing environment, your rigor and analytical skills will be your best allies in meeting new daily challenges.