Cash Manager
il y a 3 jours
Mirakl is the leading provider of eCommerce software solutions. Mirakl's suite of solutions provides enterprises with a transformative way to drive significant growth and efficiency in their online business.Since 2012, Mirakl has been pioneering the platform economy, empowering retail and b2b enterprises with the most advanced, secure and scalable technology to digitize and expand product assortment through marketplace and dropship, improve efficiency in supplier catalog management and payments, personalize shopping experiences, and boost profits through retail media. Mirakl is trusted by Macy’s, Saks, Henry Schein, The Knot, 1800-Flowers, Best Buy, Lowe's, Ulta and 450+ industry-leading businesses worldwide. For more information: www.mirakl.com. To support our growth, Mirakl is seeking a Cash Manager to join our team in Paris office (3 days onsite minimum). In this pivotal role, you will be at the forefront of executing our financial strategies and maintaining the integrity of cash operations across the company. As a Cash Manager, you will be deeply involved in designing, implementing, and monitoring effective cash reporting and treasury activities. Your impact will extend through various facets of the business, requiring active collaboration with internal stakeholders from Accounting, FP&A, and Legal. You will also be tasked with leading virtual teams comprising members from these diverse teams, fostering a collaborative environment to drive financial strategies that cater to the needs of key clients. This role is crucial for maintaining strong relationships with both internal teams and external partners, including direct interactions with clients, banking institutions, and financial advisors. Your Impact Cash reporting Managing cash reporting and operational cash indicators (incl. DSO, DPO, …) Implementing and managing cash forecast at entity and Group level Designing, implementing and monitoring processes to optimize Cashflow Treasury activities Improve day to day banking operations (vendor payments, bank monitoring …) Handling relationships with bank partners and advisors Monitoring cash surplus in line with the Group's investment policy Investing and implementing financing alternatives (factoring, credit insurance, …) Proposing and deploying strategies to optimize FX exposure Transportation Management System (TMS) – Opportunity assessment and implementation readiness Requirements You are our ideal new hire if: You hold a Master's degree from a business school, engineering school, or University You have around 5 years experience in cash flow monitoring and treasury, either in a corporate or consultancy environment. You have a good understanding of treasury concepts, cash/liquidity management, payment management process and FX monitoring You are able to thrive in a fast-paced and dynamic environment You have strong verbal and written communication abilities across all levels of an organization You are fluent in French and English We welcome collaborators with their diverse perspectives and experiences to power us forward. These often far exceed conventional job requirements and help us create a culture of continuous learning. If you’re ready to join a hyper-growth company at the heart of digital transformation for the world’s most forward-thinking organizations, we strongly encourage you to apply to any of our roles, even if you think you’re not an exact match. Seniority level Not Applicable Employment type Full-time Job function Finance and Sales Technology, Information and Internet Referrals increase your chances of interviewing at Mirakl by 2x Get notified about new Treasury Manager jobs in Paris, Île-de-France, France. #J-18808-Ljbffr
-
CASH MANAGER
il y a 4 semaines
Greater Paris Metropolitan Region, France HUJEMAX Temps pleinThe Recruitment Company HUJEMAX is currently looking for one of its Clients a "Cash Manager", based in Paris.The "Cash Manager" will be responsible for daily liquidity management, optimization of financial flows, and contribution to the group's financing strategy.Key ResponsibilitiesMain responsibilities include:Monitoring daily cash inflows and outflows...
-
cash manager
il y a 2 semaines
Greater Paris Metropolitan Region, France HUJEMAX Temps pleinThe Recruitment Company HUJEMAX is currently looking for one of its Clients a "Cash Manager", based in Paris.The "Cash Manager" will be responsible for daily liquidity management, optimization of financial flows, and contribution to the group's financing strategy.Key ResponsibilitiesMain responsibilities include:Monitoring daily cash inflows and outflows...
-
Junior Cash Manager
il y a 2 jours
Paris, France BlaBlaCar Temps plein**About BlaBlaCar** BlaBlaCar is the world’s leading community-based travel app enabling 26 million members a year to carpool or travel by bus in 21 countries. Our team of 800 employees counts over 50 nationalities and is spread across our 5 global offices, 30% working fully remotely. **Your Mission** We are looking for a junior cash manager to join the...
-
Cash Manager
il y a 2 semaines
Paris, France Levy Restaurants Temps plein**Le Cash Manager** est rattaché au service du Contrôle de Gestion, il est garant des flux financiers sur le site et de la bonne cohérence des systèmes d’informations. Sa mission principale est **la gestion du cash sur événement** - Gestion et préparation des événements - Validation des besoins et transmission des fonds de caisse - Présence...
-
Cash Manager H/F
il y a 3 semaines
Paris, France UpFeel Temps pleinTrésorier / Cash Manager Localisation : Paris Type de contrat : CDI Fourchette de salaire envisagée : 70/90K€ (fixe + variable) Contexte de recrutement, Nous accompagnons un très beau client, dans la recherche de son future premier Cash Manager, pour créer la fonction, depuis une page blanche Un rôle exposé aux fondateurs, transverse, international,...
-
Cash & Liquidity Manager
il y a 2 semaines
Paris, Île-de-France Technip Energies Temps pleinJob DescriptionBe part of the solution at Technip Energies and embark on a one-of-a-kind journey. You will be helping to develop cutting-edge solutions to solve real-world energy problems.We are currently seeking a Cash & Liquidity Manager (3 years of experience) reporting directly to Head of Corporate Cash Management and Joint Venture to join our Corporate...
-
Cash Management
il y a 2 semaines
Paris, France FAB Group Temps pleinAu sein de l'équipe Cash Management, le ou la candidat(e) sera en charge des tâches suivantes : 1. Participation à la bonne exécution des paiements (choix compte, respect date de valeur, contrôle de l'exécution correcte de l'ordre), 2. Rapprochement des écritures bancaires et de leur bonne comptabilisation,3. Suivi des opérations d'encaissement et de...
-
Expert SAP Cash Management
il y a 3 semaines
Paris, France Collective Temps plein1. Contexte et enjeu de la mission Groupe industriel spécialisée dans le domaine de production et de la transformation du papier. La mise en place de SAP CASH Management pour la gestion de ces flux de trésorerie en termes de : Gestion de la trésorerie en date valeur Suivi de la trésorerie prévisionnelle Suivi des paiements Mise en place d'une...
-
PMO Cash Management
il y a 6 jours
Paris, France Taleo Consulting Temps pleinTaleo Consulting est un groupe de conseil en management présent à Luxembourg, Paris, Bruxelles, Amsterdam, Genève, Barcelone, Singapour et Lisbonne.Nos valeurs sont : Famille, Fun et Excellence et font partie intégrante de l'ADN de Taleo.Nous comptons aujourd'hui plus de 500 employés à travers nos 8 bureaux internationaux !Notre expertise financière...
-
PMO Cash Management
il y a 6 jours
Paris, France Taleo Consulting Temps pleinTaleo Consulting est un groupe de conseil en management présent à Luxembourg, Paris, Bruxelles, Amsterdam, Genève, Barcelone, Singapour et Lisbonne.Nos valeurs sont : Famille, Fun et Excellence et font partie intégrante de l’ADN de Taleo.Nous comptons aujourd'hui plus de 500 employés à travers nos 8 bureaux internationaux !Notre expertise financière...