Group Treasury Manager
il y a 6 heures
Harmattan AI is a next-generation defense prime building autonomous and scalable defense systems. Following the close of a $200M Series B, valuing the company at $1.4 billion, we are expanding our teams and capabilities to deliver mission-critical systems to allied forces.
Our work is guided by clear values: building technologies with real-world impact, pursuing excellence in everything we do, setting ambitious goals, and taking on the hardest technical challenges. We operate in a demanding environment where rigor, ownership, and execution are expected.
About the RoleAs Group Treasury Manager at Harmattan AI, you will take ownership of the Group's treasury function, working closely with the Head of Finance to structure, deploy, and continuously improve cash management, liquidity planning, FX risk management, and intercompany funding across multiple entities and jurisdictions.
The role combines hands-on operational treasury execution with strategic structuring responsibilities, including cash pooling, banking architecture, FX policies, and working capital financing. As the company continues to scale rapidly and internationally, the Group Treasury Manager will play a critical role in securing liquidity, managing financial risks, and supporting growth through robust and scalable treasury frameworks.
ResponsibilitiesCash Management & Liquidity
Own daily and medium-term cash visibility at Group level, including cash positioning and liquidity forecasting
Structure and maintain rolling cash flow forecasts in close coordination with FP&A and Accounting teams
Banking Structure & Cash Pooling
Design, implement, and manage the Group's banking architecture across multiple entities and countries
Lead the setup and operation of cash pooling structures, including intercompany flows
Manage relationships with banking partners and negotiate treasury-related terms
Support the opening of new bank accounts in connection with new entities, geographies, or projects
FX Risk Management
Define and implement the Group's FX policy
Identify, quantify, and monitor FX exposures across entities
Execute FX hedging strategies and monitor hedge effectiveness
Coordinate with operational teams to anticipate FX impacts on margins and cash flows
Working Capital & Treasury Financing
Support the structuring and deployment of working capital financing solutions
Contribute to discussions with lenders, export credit agencies, and public institutions on treasury-related instruments
Education & Experience: Degree in Finance, Business Administration, Engineering, or a related field (Master's preferred), with 6 to 10 years of experience in Treasury or similar roles. Experience in a scale-up, industrial, international, or multi-entity environment is a strong plus.
Treasury & Financial Skills: Strong expertise in cash management, liquidity forecasting, FX risk management, and banking structures. Solid understanding of working capital financing and intercompany funding mechanisms. Advanced Excel skills are required; familiarity with ERP systems, treasury tools, and banking platforms is highly valued.
Working Style & Ownership: Hands-on, structured, and autonomous, with the ability to operate both at operational detail level and strategic design level. Strong ownership mindset, comfort in fast-changing environments, and ability to manage multiple priorities simultaneously.
Communication & Business Mindset: Excellent written and verbal communication skills in French and English, with the ability to interact effectively with banks, internal stakeholders, and external advisors. Strong business acumen and full alignment with Harmattan AI's mission and growth ambitions.
We look forward to hearing how you can help shape the future of autonomous defense systems at Harmattan AI.
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