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Capital Market Analyst - 1 year fixed term contract

Diageo

Budapest, Hungary

Diageo is the world’s leading premium drinks company with an outstanding collection of brands, such as Johnnie Walker, Smirnoff, Baileys, Captain Morgan, Tanqueray and Guinness.
Our purpose - Celebrating life, every day, everywhere - has an important role in our company, for our people, our brands, in how we perform and how we create shared value.
Diageo Business Services have been operating in the heart of Budapest for 15 years and provide added value for the company on a global level in the area of Finance, HR, Commercial Support, IT, Treasury and Business Intelligence.

Capital Market Analyst – 1 year Fixed Term Contract

The Taste:

Group Treasury carries out a full range of Treasury activities, including funding, investment of funds, FX and interest rate risk management, cash management, risk financing, corporate finance and regional treasury support. In addition, Treasury provides inputs to business decision making. The team seeks to add value to the group through the design and implementation of appropriate policies, procedures, controls, the reduction of volatility, and within policy guidelines, the minimisation of funding and other related costs.
The purpose of this role is to provide analytical support on various debt capital markets and corporate finance related activities within Group Treasury. It is a unique opportunity to obtain experience on a wide number of financial products.

Ingredients:

Maintain group interest charge and cash flow forecasts (plan, annual operating plan and monthly risks and opportunities identification) taking into account IFRS impacts
Liaison with external and internal contacts e.g. Relationship Banks, other areas of Treasury, Group Finance, Group Tax, Investor Relations and operating companies with external debt
Active participation in the execution of capital markets transactions
Comparing forecast to actual results on a monthly basis and considering the impact of any variances on the half and full year forecast
Development and maintenance of detailed interest charge & cash flow and debt forecasting models
Regular communication and explanation of updated debt forecast to senior stakeholders, in particular to the Capital Markets Treasury Manager
Analytical support on a number of complex corporate finance topics, including return of capital, employee share scheme hedging and weighted average cost of capital calculations

How to Serve:

• University or College degree in finance or accounting field
• Minimum 2 years’ work experience in a finance role in a multinational company
• Fluent Business English
• Strong modelling, analytical and communication skills
• Experience in treasury instruments or a willingness to learn how they work
• Strong excel knowledge


Cherry on Top:
• Opportunity to climb up on the career ladder
• We won the Fittest Workplace Award, of course we have a Gym
• Urban legend is true, we do have a Rooftop Bar
• Easy to reach downtown location
• Our unique brands are available in our staff shop
• We live our values and color our lives.

Apply


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