Offre d'emploi Internship- Head Office-Energy Strategy-Financial Analysis F/M

Internship- Head Office-Energy Strategy-Financial Analysis F/M

Air Liquide https://www.handicap.fr/static/dyn/emploi/org21/img_206017.png https://www.airliquide.com/
Date de parution

Descriptif

We are seeking two motivated and detail-oriented Finance Interns to join our dynamic team and support the CFO in the following areas:

● Business and Operations Control:

○ Monitor and analyze Joint Venture dashboards to provide business variance analysis and monthly flash reports.

○ Support monthly and quarterly reporting in collaboration with accounting.

○ Analyze data and make projections for monthly and forecast follow-up, including the forecast and target process.

○ Update the target and reforecast file for H2C and its JVs.

○ Handle ad-hoc finance tasks outside of the closing calendar.

● Financial Analysis:

○ Analyze financial data and create reports to provide insights into the company and its financial JV's performance.

○ Assist in preparing financial models, forecasts, and budgets.

○ Conduct variance analysis and identify key trends to improve decision-making.

○ Support the preparation of financial presentations for management.

● Financial Compliance:

○ Support compliance with financial regulations and company policies.

○ Assist with preparing and reviewing financial statements for accuracy and adherence to regulatory standards.

○ Conduct ad-hoc research on financial compliance requirements.

● Internal Control & Risk Management:

○ Assist the CFO in evaluating and strengthening internal controls and risk management processes.

○ Participate in reviews to ensure compliance with financial policies.

○ Identify and recommend improvements in internal controls to mitigate financial risks.

● Financial Modelling with Budget Management and Tracking:

○ Develop and maintain financial models to support business decision-making.

○ Assist in the budget management process, including budget preparation, tracking, and analysis.

○ Monitor budget performance and identify variances.

○ Prepare reports and presentations on budget-related matters.

● Ad-hoc Tasks:

○ Provide general support to the CFO on a range of financial tasks.

○ Assist in special projects and financial reviews as needed.

○ Collaborate with other departments on financial matters when necessary.

Profils

- Strong analytical skills with the ability to interpret financial data and present it clearly and concisely for management decision-making.

● Proficiency in Microsoft Excel and other financial analysis tools.

● Knowledge of financial regulations, accounting principles, and risk management is a plus.

● Strong attention to detail and the ability to handle confidential information with integrity.

● Excellent communication and organizational skills.

● Ability to work independently and as part of a team.

● At ease with dashboards, Excel, and Google Sheets tools, and with figures in general.

● Good capacity for analysis and synthesis, allowing you to identify trends and guide decisions.

● Autonomous, curious, proactive, and accurate.

● Fluent in English; ability to work in French is a plus.



Candidate Profile

● Background in Business Control, Operations Control, Management Accounting, Financial Management, M&A, or Investment Banking.



Internship Details

● Duration: Jan 2026 to June/July 2026.

● Location: 75 quai d'Orsay, 75007 Paris

● Full-time presence in the company



What We Offer

● Hands-on experience in financial analysis, risk management, budgeting and internal control.

● Mentorship from direct exposure to the CFO.

● Valuable opportunity to gain experience in a dynamic and growing industry.



To Apply

Please submit your resume and cover letter
  • Lieu : Paris (75)
  • Métier : Analyse financiere / Trésorerie
  • Secteur d'activité : Environnement, Energie
  • Contrat : Stage
  • Expérience : Débutant
  • Niveau d'études : Master, diplôme d'études approfondies, diplôme d'études supérieures spécialisées, diplôme d'ingénieur (Bac+5)
  • Prise de poste : 5 janvier 2026
  • Durée : 6 mois
  • Lieu : Paris (75)75007Île-de-France
  • Famille de métiers : Gestion / Comptabilité / Finance
  • Métier : Analyse financiere / Trésorerie
  • Secteur d'activité : Environnement, Energie
  • Contrat : Stage
  • Expérience : Débutantno requirements
  • Niveau d'études : Master, diplôme d'études approfondies, diplôme d'études supérieures spécialisées, diplôme d'ingénieur (Bac+5)postgraduate degree
  • Prise de poste : 5 janvier 2026
  • Durée : 6 mois
  • 2025-08-04
  • EUR
  • 1
  • FULL_TIME>INTERN
  • Air LiquideR10070730_1750179593
  • false
  • LieuParis (75)75007
  • ContratStage
  • ExpérienceDébutant
  • Niveau d'étudesBac+5
  • Prise de poste5 janvier 2026