Treasury & Cash Management Configuration Specialist
il y a 8 heures
OverviewWant to join a fast-moving company, work among convivial teams, and take part in shaping the future of the Wine & Spirits industry with cutting-edge technology?Join Pernod Ricard's Global Tech team and embark on a transformative journey aiming to support our business ambitions with valuable Tech products and services. Our global Tech team operates in an agile manner within a dynamic product organization. This is your chance to thrive in a collaborative environment, grow through upskilling and continuous development and play a direct role in shaping the path for our industry.Ready to make a Tech impact? Pernod Ricard is looking for a Treasury & Cash Management Configuration Specialist.From our HQ in central Paris, connect with our experts located across the world, and start an exciting journey with international opportunities.THE PRODUCT(S) YOU WILL WORK ON / THE TEAM YOU WILL WORK WITHIn a context of Finance transformation journey, Pernod Ricard has decided to accelerate on Treasury and Cash Management stream with deployment across our affiliates of a group Cash management core model in one unique Tool Kyriba. This will allow to deliver greater efficiency for Cash & Treasury functions and improve visibility on our cash at Group level. The Tech capability product teams thrive on providing cutting edge tools & recommendations to ensure that we make the best usage of our technological assets and to always lookout for the upcoming evolutions that could benefit our performance.You will be part of the Treasury & Cash Management Product Team, responsible for deployment, administration and adoption of Pernod Ricard Treasury & Cash Management platform, such as Kyriba.What is expected of youProduct lifecycle management: Analyze requirements from new products, compare them to existing systems specifications. Deep dive on technical and functional specifications, dependencies and interactions between new product and existing systems. Configure required parameters, security settings, options functionalities & modules. Define and perform required functional, performance, security and compatibility tests. Manage interfaces integrations and integration tests.Incident management: Investigate incidents related to integration issues at level 2/3 and contribute to resolution. Ensure strong monitoring of incidents.Product Catalog Management: Participate in the addition, modification and removal of catalog items from scope based on approvals of the Product Owner and the Product and Service Catalog Manager.Deployment: Participate in solutions deployment in the Group, collaborate with Tech teams, software editors and banks (data exchange and communication). Maintain and create detailed documentations and user guides.QualificationsYou have 5 - 7 years of professional experience in IT and/or finance-related IT areas.You have worked on Kyriba as a configuration expert/administrator; you have a Kyriba certificate.You speak fluent English.Your knowledge and expertise include:Operational competencies in corporate treasury: IntermediateSkills in treasury tools (TMS, Bank communication tools, ERP): StrongIT Product Management (Agile context) - API/SFTP management: StrongExperience with cross functional Tech teams – BI, support/AMS, solutions architects, etc.: StrongWait, there’s more…We offer you an outstanding and collaborative workplace that embodies our sharing & conviviality culture, the possibility to work from home (2 days a week), a very complete mutual insurance, an attractive compensation including profit-sharing, the possibility to train daily, employee events…We value diversity and solidarity within its organization and in its relations with stakeholders. Our recruitment methods focus on skills, and we welcome all types of talents.Job Posting End Date: 2026-01-01Target Hire Date: 2026-01-01 #J-18808-Ljbffr
-
Treasury & Cash Management Configuration Specialist
il y a 8 heures
Paris, France Pernod Ricard USA Temps pleinOverviewJoin Pernod Ricard's Global Tech team and participate in shaping the future of the Wine & Spirits industry with cutting-edge technology. This role offers an agile, collaborative environment with opportunities for upskilling and international exposure. From our HQ in central Paris, you will connect with experts across the world.Role: Treasury & Cash...
-
Treasury & Cash Management Configuration Specialist
il y a 8 heures
Paris, France Pernod Ricard Temps pleinOverviewWant to join a fast-moving company, work among convivial teams, and take part in shaping the future of the Wine & Spirits industry with cutting-edge technology?Join Pernod Ricard's Global Tech team and embark on a transformative journey aiming to support our business ambitions with valuable Tech products and services. Our global Tech team operates in...
-
Treasury & Cash Specialist
il y a 8 heures
Paris, France Naboo Temps pleinJoin to apply for the Treasury & Tax Specialist role at Naboo 💰Salary: Competitive (based on experience) As Tax & Treasury Officer, you will play a pivotal role in managing Naboo's cash flow and funding strategies, ensuring the company maintains financial stability and operational efficiency. You will work closely with the finance team to execute daily...
-
Treasury & Cash Management Specialist
il y a 8 heures
Paris, France Capital Fund Management (CFM) Temps pleinFounded in 1991, we are a global quantitative and systematic asset management firm applying a scientific approach to finance to develop alternative investment strategies that create value for our clients. We value innovation, dedication, collaboration, and the ability to make an impact. Together, we create a stimulating environment for talented and...
-
Treasury & Cash Management Specialist
il y a 8 heures
Paris, France Capital Fund Management (CFM) Temps pleinFounded in 1991, we are a global quantitative and systematic asset management firm applying a scientific approach to finance to develop alternative investment strategies that create value for our clients.We value innovation, dedication, collaboration, and the ability to make an impact. Together, we create a stimulating environment for talented and passionate...
-
Kyriba Treasury Config Specialist
il y a 8 heures
Paris, France Pernod Ricard Temps pleinA global leader in Wine & Spirits is looking for a Treasury & Cash Management Configuration Specialist to manage the deployment and administration of their Treasury platform. The role involves ensuring product integration, addressing incidents, and contributing to the product catalog. Ideal candidates will have significant experience with Kyriba, strong...
-
Kyriba Treasury Config Lead
il y a 8 heures
Paris, France Pernod Ricard USA Temps pleinA leading global company in the Wine & Spirits industry is seeking a Treasury & Cash Management Configuration Specialist in Paris. This role involves managing product integrations, incident management, and deployment of treasury solutions. The ideal candidate has 5 - 7 years of experience in IT or finance and expertise in Kyriba. The company offers a...
-
Treasury Manager
il y a 5 jours
Paris, France Ogury Temps pleinOgury, the global leader in personified advertising, has created a breakthrough advertising engine that delivers comprehensive audience interests, brand performance, privacy protection and sustainability within one technology stack, built and optimised for mobile. Advertisers working with Ogury benefit from fully visible impactful ads, future-proof targeting...
-
Global Corporate Cash Management Leader
il y a 8 heures
Paris, France Technip Energies Temps pleinA global engineering firm in Paris seeks a Corporate Cash Management specialist. You will oversee liquidity, manage daily treasury operations, and support cash optimization efforts. The ideal candidate has at least 5 years of experience in Cash Management within a corporate environment, strong technical skills in Treasury Management Software, and is business...
-
Treasury Manager: Cash Optimization
il y a 6 jours
Paris, France TASTE Temps pleinUn cabinet de conseil renommé recherche un Treasury Manager à Paris pour optimiser les flux de trésorerie au sein d'une entreprise internationale en pleine croissance. Vous serez responsable de la gestion opérationnelle du cash et de l'encadrement d'une équipe. Le candidat idéal a au moins cinq ans d'expérience en trésorerie, maîtrise les outils de...