• ATR

  • Pol-Jean le Guillou

Pol-Jean le Guillou

Head Of Treasury And Cash Forecast at ATR

Pol-Jean Le Guillou currently serves as an External Lecturer at Toulouse School of Management since January 2025 and as the Head of Treasury and Cash Forecast at ATR since July 2021, overseeing a team responsible for cash flow control, cash management, FX hedging, and trade finance. Prior to this, Pol-Jean held several key positions at Airbus from October 2010 to July 2021, including Middle Office - Treasury Reporting and Hedge Accounting Manager, where responsibilities included managing roll-overs under IFRS9, delivering asset valuation calculations, and contributing to treasury digitalization projects. Additional roles at Airbus encompassed Fuel Hedging implementation and Subsidiaries Management, focusing on governance and reporting tools. Earlier experience includes a position as Financial Assistant at Thales. Pol-Jean holds a Master's degree in management from EDHEC Business School, earned between 2004 and 2010.

Links

Previous companies


Org chart

No direct reports

Teams

This person is not in any teams


Offices

This person is not in any offices