Group Treasury Controller

il y a 2 jours


BoulogneBillancourt, Île-de-France A2MAC1 Temps plein

We are seeking a Group Treasury Controller (H/F) to strengthen and further structure our Group Treasury function.

Reporting to the Group Treasury Director, this role is responsible for analyzing, monitoring, and forecasting the Group's cash position, ensuring high-quality cash visibility in a private equity (LBO) environment.

The Group Treasury Controller will play a key role in supporting financial decision-making, working closely with senior finance stakeholders, management, and lenders, within a fast-growing and structuring organization.

GROUP ACITVITY

A2MAC1 is the leading provider of automotive benchmarking and data analytics worldwide.

Our solutions help OEMs and suppliers understand their competitive landscape, accelerate development, and make better strategic decisions based on reliable, structured, and actionable insights.

Through our digital platforms, data services, consulting expertise, and AI-driven solutions, A2MAC1 supports the world's top automotive players.

With 700+ employees across Europe, Asia, and North America, A2MAC1 continues its strong growth, driven by innovation and customer success.

KEY RESPONSIBILITIES

Cash Forecasting & Analysis

  • Build, monitor, and continuously improve Group cash flow forecasts (short- and mid-term).
  • Analyze variances between actuals and forecasts and provide actionable insights.
  • Anticipate liquidity risks and support cash optimization initiatives.
  • Prepare and analyze cash reporting for management and financial stakeholders.

Liquidity & Financing Monitoring

  • Monitor the Group liquidity (debts, collections, covenants).
  • Monitor internal financial (cash pooling, intercompany flows).
  • Contribute to the analysis of transactional FX exposure and related hedging strategies.

Tools, Processes & Continuous Improvement

  • Use and enhance treasury and reporting tools (TMS, ERP, Excel, Power BI) to improve data reliability and efficiency.
  • Actively contribute to the automation, structuring, and simplification of treasury processes.
  • Participate in treasury transformation projects, particularly in a context of growth and integration of new entities.

Cross-Functional Collaboration

  • Work closely with Finance, Accounting, and Controlling teams.
  • Challenge internal stakeholders on cash assumptions and financial flows.
  • Contribute to strengthening a cash culture across the Group.

 KEY MEASURES & SUCCESS INDICATORS

  • Accuracy and reliability of cash flow forecasts.
  • Quality and relevance of cash analyses delivered.
  • Ability to anticipate liquidity risks.
  • Contribution to continuous improvement of treasury processes.

Professional Background

  • Master's degree in Finance, Controlling, or Treasury.
  • 3 to 5 years of experience in treasury controlling, group treasury, or corporate finance.
  • Experience in a cash-intensive and performance-driven environment (private equity, fast growth) is a strong plus.

Skills & Abilities

  • Strong financial analysis and cash forecasting skills.
  • Solid understanding of liquidity management and financing mechanisms.
  • Comfortable working with treasury and reporting tools (TMS such as Kyriba, ERP systems, advanced Excel).
  • Ability to translate financial data into clear decision-making insights.

Soft Skills

  • Strong analytical and structured mindset.
  • Ability to challenge and influence with pragmatism and clarity.
  • Business-oriented and comfortable interacting with senior finance stakeholders.
  • Autonomous, rigorous, and proactive.

  • Group Treasury Controller

    il y a 2 jours


    Boulogne-Billancourt, Île-de-France A2MAC1 Temps plein

    DESCRIPTIONWe are seeking a Group Treasury Controller (H/F) to strengthen and further structure our Group Treasury function.Reporting to the Group Treasury Director, this role is responsible for analyzing, monitoring, and forecasting the Group's cash position, ensuring high-quality cash visibility in a private equity (LBO) environment.The Group Treasury...

  • Group Treasury Controller

    il y a 2 jours


    Boulogne-Billancourt, Île-de-France A2MAC1 Temps plein

    DESCRIPTION We are seeking a Group Treasury Controller (H/F) to strengthen and further structure our Group Treasury function.Reporting to the Group Treasury Director, this role is responsible for analyzing, monitoring, and forecasting the Group's cash position, ensuring high-quality cash visibility in a private equity (LBO) environment.The Group Treasury...

  • Group Treasury Controller

    il y a 2 jours


    Boulogne-Billancourt, Île-de-France A2MAC1 - Decode the future Temps plein

    GROUP ACITVITYA2MAC1 is the leading provider of automotive benchmarking and data analytics worldwide.Our solutions help OEMs and suppliers understand their competitive landscape, accelerate development, and make better strategic decisions based on reliable, structured, and actionable insights.Through our digital platforms, data services, consulting...

  • Group FP&A Senior Analyst

    il y a 2 heures


    Boulogne-Billancourt, Île-de-France Exclusive Networks Temps plein

    EXCLUSIVE NETWORKS | IntroductionExclusive Networks is the global cybersecurity go-to-market specialist that provides partners and end-customers with a wide range of services and product portfolios. With offices in over 45 countries and the ability to serve customers in over 170 countries, we combine deep local expertise with the scale and delivery of a...


  • Boulogne-Billancourt, Île-de-France TF1 Temps plein

    STAGE - Contrôle Interne H/FType de contrat: StageMétier: Finance/AchatSociété: TF1 SAFaisons connaissancePremière chaîne de télévision généraliste française, TF1 fédère chaque jour plus de 25 millions de Français dont près de 12 millions en prime time. TF1 est la chaîne de l'événement, des émotions et du direct. Elle propose une...

  • Assistant Contrôle de Gestion

    il y a 2 semaines


    Boulogne-Billancourt, Île-de-France La Maison Bleue Temps plein

    PrésentationDepuis 2004, le Groupe La Maison Bleue, entreprise spécialisée dans la gestion de crèches pour les entreprises et les collectivités, reste fidèle à ses valeurs : un projet éducatif innovant et commun à toutes les crèches.Fort de sa croissance, le Groupe La Maison Bleue propose un accueil partout en France auprès de 400 crèches, au...


  • Boulogne-Billancourt, Île-de-France TF1 Temps plein

    Faisons connaissance Première chaîne de télévision généraliste française, TF1 fédère chaque jour plus de 25 millions de Français dont près de 12 millions en prime time. TF1 est la chaîne de l'événement, des émotions et du direct. Elle propose une programmation dans les domaines de l'info, du divertissement, de la fiction, du sport, du cinéma,...


  • Boulogne-Billancourt, Île-de-France moOngy Temps plein

    Le groupeMoOngyest un réseau de sociétés de conseil agiles pour les métiers de l'Ingénierieet duDigitalreprésentant :9500 collaborateurs48 sociétés15 pays774 M€ de CA en 2024«Chez MoOngy, nous croyons à l'intelligence collective. Peu importe la destination, on n'y arrive jamais seul Au cœur de nos sociétés s'épanouissent des esprits ouverts,...

  • Finance Controller

    il y a 6 jours


    Boulogne-Billancourt, Île-de-France HBS Temps plein

    Host Broadcast Services (HBS) is a leading, independent host broadcast specialist, dedicated to helping international sports federations, organising committees, and rights holders deliver their events to a global audience. We provide world-class broadcast solutions for some of the world's biggest sporting events, including the prestigious FIFA World Cup,...


  • Boulogne-Billancourt, Île-de-France Boursorama Temps plein

    Référence 25000OFTVos missions au quotidienBasé dans locaux à Boulogne-Billancourt au sein de la Direction Contrôles & Risques de Niveau 1, le Chief Operational Risk Officer est en charge du déploiement et du suivi du dispositif de gestion des risques opérationnels et de contrôle permanent de niveau 1. Il s'assure que les risques sont identifiés et...