The Funding team is part of Treasury & Risk and is responsible for all financing activities within the Maersk Group. In addition to Funding, Treasury & Risk is also the home of Financial Markets & Cash, Financial Planning, Risk & Insurance, Financial Reporting & Control as well as Information Security and Risk Management. We work closely across these teams as well as with other departments and financial communities in our businesses across the globe. We are more than 75 professionals based in Copenhagen and Singapore and represent 15 nationalities.
In Funding, we are a team of eight ambitious employees responsible for all funding activities of the Maersk Group including managing our USD 15bn debt portfolio and relationships with credit rating agencies, bond investors, banks, ship mortgage institutions as well as export credit agencies around the world. You will report to the Head of Funding and will assist in managing our bank relationships and be involved in and assisting senior team members in all steps of the funding process from identifying a funding need and exploring possible solutions to negotiating terms and conditions as well as finalising loan documentation. Over time we expect that you will be working more independently in all the steps in the funding process. All these aspects will be the measure of your success.
As a performance-oriented company, we strive to always recruit the best person for the job – regardless of gender, age, nationality, sexual orientation or religious beliefs. We are proud of our diversity and see it as a genuine source of strength.
The main tasks and responsibilities will include the following:
Keep bank relationship overview updated and perform bank relationship analysis;
Prepare bank relationship briefing notes for senior management ahead of meetings;
Analyse and evaluate term sheets from banks;
With guidance from senior team members, negotiate main terms and conditions of funding agreements;
Review and comment on loan agreements and other funding agreements;
Following finalisation of new loan agreements, ensuring that conditions precedent are met;
Maintenance of existing agreements and debt portfolio;
Preparation of ad hoc analysis and presentations; and
Arranging our annual bank event.
Parallel to the above you will be responsible for maintaining and developing a range of tools and reports.
Your primary stakeholders will be colleagues in the team and the management of Treasury & Risk as well as our legal department and financial analysts in our business units. You will have an opportunity to sharpen your stakeholder management skills and contribute to the positive atmosphere and collaborative working style of the team.
You hold a master degree within economics, finance, business administration and commercial law or similar.
Preferably you have 1-2 years' experience from a similar position. You are ambitious and energetic with a positive attitude towards challenges and eager to learn and develop.
Furthermore, you thrive with a detail-oriented job in a demanding environment, where high quality of end result together with the ability to meet deadlines are in focus.
Fluency in both written and spoken English is a prerequisite as well as good knowledge of Excel and PowerPoint. Danish is not a requirement.
Please apply by submitting your CV, motivation letter, and grade transcripts in English (mandatory documents). Written references and relevant certificates are optional.
Please note that applications are screened weekly and the position might be filled earlier than indicated. Thus, you are kindly asked to apply as early as possible.