Application deadline

25/11

Aarhus, Denmark

Junior Treasury Analyst for Danske Commodities

Do you have a general interest in financial markets, a solid economic understanding and an appetite to take on responsibility? Then you may be the new student employee in our Treasury team.

Your team and the role we play in DC
In Treasury, we act as an in-house bank. Here, our primary focus areas are within bank- and cash management and trade finance activities, focusing on guarantees, FX and interest rate risk and portfolio management. The vision in the team is to look to the future and re-think treasury. Through best-in-class setup, we will manage strategic and operational tasks in a way that enables us to continue to be the best among our peers.

You will join a team of five creative and committed colleagues, who work closely together with various teams in DC, including Risk Management, Finance as well as several trading teams. In Treasury, we enjoy making each other better at what we do and make use of our competencies by sparring and discussing various subjects with each other before a final decision is made.

Thorough introduction leading to faster development
Starting out, you will get a thorough introduction to the team and the daily tasks. We will provide you with an insight into the daily processes, so you will quickly get an understanding of what we do in Treasury – and not least, why we do it. When the fundamental knowledge is in place, you will be given your own analysis assignments, which in turn will give you a broad understanding of how we work with Treasury in Danske Commodities. In time, you will have a role in optimising and supporting the implementation of a new treasury system, which will help optimise the Treasury team, making us more cost-efficient and less dependent on human errors.

The best part of the job is sparring with skilled co-workers. We always challenge each other to do our best, and you will learn more day by day

Jesper Nielsen-Terp, Head of Treasury & Credit Risk Management

We Offer

  • professional and skilled colleagues, who set the bar high
  • great opportunities for individual development
  • flexible working hours
  • numerous social and professional events incl. sporting events and parties
  • an office in the heart of Aarhus, next to the central train station

Responsibilities

  • perform various ad hoc treasury analyses, as well as assist the team with other analyses (e.g. liquidity optimisation)
  • optimise tools and work processes through the use of VBA
  • support with running our cash flow forecast model and interpretation of the results
  • support with various administrative tasks - e.g. bank and exchange setup
  • assist the Director on ad hoc tasks - e.g. preparation of material for bank and board meetings
  • assist in daily activities within bank- and cash management, as well as support with issuance of guarantees and other trade finance related tasks
  • ability to work approx. 15-20 hours a week

Qualifications

We expect that you:

  • as a minimum, are enrolled in the final year of your bachelor’s degree within Finance, Economics or similar
  • are fluent in English – both written and verbal
  • have basic knowledge of VBA and SQL and are willing to develop these skills
  • are interested in and have knowledge of financial markets

Personal Skills

We expect that you:

  • take a positive view: no job too big, no job too small – the team covers a wide range of tasks and we always help each other in getting the job done
  • have a good understanding of numbers and can critically evaluate data in order to be able to excel in your analyses
  • are curious by nature and willing to learn more about the field we work within. The job entails tasks within various areas, and the will to learn more can drive your development further

JobStart & Type

  • As soon as possible. We will be screening candidates on an ongoing basis.
  • Part-time

Apply for
this job

Please have the following documents ready. It only takes 5 minutes to complete the form.

  • Application
  • CV
  • Exam papers
  • References
  • Picture

GET IN TOUCH

Jesper Nielsen-Terp Director, Head of Treasury & Credit Risk Management

If you would like to know more about this position, simply click on the button below for contact details.

CONTACT

You're welcome to call, mail, or use the form, to get in contact with

Jesper Nielsen-Terp

T: +45 31381053

E: jnt@danskecommodities.com

THANK YOU FOR CONTACTING US! We will get back to you as soon as possible.

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