Your duty will be: Administration of the daily operations handled by the trading room treasurers - control, handling the flow of francs and currencies, confirming to banks, communication of situations, dashboards… Middle office analyses of market operations, debts and financial result. Financial control of the Group's Finance Division: monthly reports - trading accounts, balance sheets, cash-flow statement), business plans, budgets, estimations… Analyses and remarks. System administrator for the Front Office - Back Office treasury-funding software package.