Cash Manager
Il y a 5 mois
Mirakl is the global leader in platform business innovation. 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 400+ industry-leading businesses worldwide including Macy’s, Decathlon, Kroger, Airbus, Toyota Material Handling and Sonepar.
Headquartered in Paris and Boston and with offices in 7 countries, Mirakl is recognized as a Great Place to Work company.
To support our growth, Mirakl is seeking a Cash Manager to join our team in Paris . 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 collection processes and treasury activities.
Your impact will extend through various facets of the business, requiring active collaboration with internal stakeholders from Sales & Customer Success, 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
Treasury activities 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 Cash flow optimisationManaging cash forecast at entity and Group levelDesigning, implementing and monitoring processes to optimize Cashflow, incl. Cash collection processesLiaising with all internal stakeholders (Customer success, Sales, Accounting, FP&A and Legal) and determining appropriate strategies for key actionsManaging cash reporting and operational cash indicators (incl. DSO, ...)
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 6 years experience in cash flow monitoring, cash collection, and/or 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 EnglishWe 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.
-
Cash Manager
Il y a 5 mois
Paris, France Mirakl Temps pleinMirakl is the global leader in platform business innovation. 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...
-
Cash Manager
il y a 4 semaines
Paris, Île-de-France Wakam Temps pleinWakam, a leading digital insurance company, is seeking a skilled Cash Manager to join its Treasury team. As a key member of the team, you will be responsible for managing the company's cash flows and liquidity to ensure optimal financial management.The ideal candidate will have a strong background in finance, accounting, or a related field, with a minimum of...
-
Cash Manager
il y a 4 semaines
Paris, Île-de-France Mirakl Temps pleinAbout MiraklMirakl is a global leader in platform business innovation, empowering enterprises to drive significant growth and efficiency in their online business.With a pioneering approach since 2012, Mirakl has developed a suite of solutions that enable retail and B2B enterprises to digitize and expand product assortment through marketplace and dropship,...
-
Cash Manager
il y a 1 mois
Paris, Île-de-France Mirakl Temps pleinAbout MiraklMirakl is a global leader in platform business innovation, empowering enterprises to drive growth and efficiency in their online business.With a pioneering approach since 2012, Mirakl has developed a suite of solutions that enable retail and B2B enterprises to digitize and expand product assortment through marketplace and dropship, improve...
-
Cash Management Coordinator
il y a 3 semaines
Paris, Île-de-France Accor Hotels Temps pleinCash Management CoordinatorAccor Hotels is seeking a skilled Cash Management Coordinator to join our team. The successful candidate will be responsible for managing the company's cash flow, including accounts payable and cash management. Key responsibilities include: Coordinating cash flow and ensuring effective cash management Preparing and processing...
-
Analyste Trésorerie
Il y a 5 mois
Paris, France Dassault Systèmes Temps pleinAu sein de **Trésorerie Groupe de Dassault Systèmes**, vous travaillez en support de l’équipe **EMEAR Cash Management & Cash Pooling**, sur un périmètre complexe comprenant les niveaux d’interventions suivants: - Renforcer l’équipe dans la gestion des opérations quotidiennes de trésorerie sur un périmètre international - Participer au...
-
Cash Management Associate
il y a 3 semaines
Paris, Île-de-France Accor Hotels Temps pleinJob RoleWe are seeking a highly skilled Cash Management Associate to join our team at Accor Hotels. The successful candidate will be responsible for managing the company's cash management function, ensuring timely and accurate payment of invoices, and maintaining a high level of financial control.Key ResponsibilitiesProcess daily cash transactions, including...
-
Junior Cash Manager
Il y a 5 mois
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...
-
Trésorier Cash Management
il y a 4 semaines
Paris, Île-de-France Elior Group Temps pleinMission Nous recherchons un Trésorier Cash Management pour rejoindre notre équipe financière au sein de l'Elior Group. Vous serez chargé de mettre en œuvre la politique de gestion et la structure de liquidité du Groupe, ainsi que de gérer la relation avec les banques de cash management du groupe. Compétences requises Expérience de 3 à 8 ans au...
-
Cash Management Specialist
il y a 4 semaines
Paris, Île-de-France Access Capital Partners Temps pleinJoin Our Team as a Cash Management OfficerAccess Capital Partners, a leading independent European fund manager, is seeking a highly skilled Cash Management Officer to strengthen our Middle Office team. As a key member of our team, you will be responsible for the daily monitoring of operations in our investment funds, ensuring accurate and timely cash flows,...
-
Commercial Manager
il y a 3 semaines
Paris, Île-de-France Natixis SA Temps pleinPoste et missionsNatixis Corporate & Investment Banking recherche un Commercial Manager - Cash Management Solutions pour rejoindre son équipe de Treasury Solutions. Cette équipe est chargée de proposer des solutions de cash management haut de gamme à ses clients corporatifs et institutionnels.En tant que Commercial Manager - Cash Management Solutions,...
-
Gestionnaire de la Plateforme de Cash Management
il y a 3 semaines
Paris, Île-de-France Crédit Agricole SA Temps pleinPrésentation du posteLe Gestionnaire de la Plateforme de Cash Management est responsable de la gestion de la plateforme de cash management pour les clients de Crédit Agricole SA. Il travaille en étroite collaboration avec les équipes Front et Middle Offices pour fournir une expérience client de haute qualité.MissionsGérer la plateforme de cash...
-
Digital Cash Manager
il y a 4 semaines
Paris, Île-de-France Wakam Temps pleinAbout WakamWakam is a pioneering B2B2C insurance company that has revolutionized the industry with its innovative Play&Plug technology platform. With a strong presence in 32 countries and a revenue of over €900 million in 2023, Wakam is the European leader in digital and embedded insurance.Our MissionAt Wakam, we are committed to making a positive impact...
-
Analyst Cash Management
Il y a 5 mois
Paris, France Digital Consulting Temps pleinPour un client, partenaire de référence des directions financières **Description de la mission** You will be based in Paris and report to the Head of Analyst Americas. As a junior analyst, you will be part of multiple project teams managed by an associate. You will on average get to work on 3-4 engagements for both domestic and international Redbridge...
-
Cash Management Associate
il y a 3 semaines
Paris, Île-de-France Access Capital Partners Temps pleinJob Description: As a Cash Management Associate, you will play a critical role in the daily monitoring of operations in our Access Capital Partners Funds. Your responsibilities will include monitoring daily cash flows, participating in banking and accounting reconciliation processes, and coordinating with banks and depositaries in Europe.Key...
-
Cash Management Specialist
il y a 4 semaines
Paris, Île-de-France Access Capital Partners Temps pleinJoin Our Team as a Cash Management OfficerAccess Capital Partners is a leading independent European fund manager investing in Private Equity, Infrastructure, and Private Debt assets in Europe. We manage EUR 14.3 billion on behalf of our international institutional clients and operate with a team of 90+ professionals based in six offices.Your Role:As a Cash...
-
Cash Management Sales Specialist
Il y a 5 mois
Paris, France Barclays Temps plein**Cash Management Sales Specialist** **Paris** Barclays Europe is an essential part of Barclays’ success across the globe. We support the bank’s global growth by servicing European clients and markets. We connect European clients to the power of Barclays globally, offering them access to the largest capital markets and growth opportunities in the US,...
-
Commercial Cash Management Specialist
il y a 5 jours
Paris, Île-de-France Natixis SA Temps pleinMissions et responsabilitésEn tant que Commercial Cash Management Specialist, vous êtes chargé de maintenir une forte proximité avec les clients en leur offrant du conseil et un accompagnement spécifique. Vous analysez le marché en lien avec la liquidité et affinez l'approche commerciale, relancez les clients et centralisez les évolutions des...
-
Spécialiste Trésorerie et Cash Management
il y a 3 semaines
Paris, Île-de-France Dassault Systèmes Temps pleinDescription du poste En tant que Spécialiste Trésorerie et Cash Management, vous travaillerez en support de l'équipe EMEAR Cash Management & Cash Pooling. Vous serez amené à participer activement à la gestion des opérations de trésorerie, en coordination avec les partenaires bancaires, les services comptables (AP, AR, GL) ainsi que les équipes...
-
Cash Management Lead
il y a 3 semaines
Paris, Île-de-France Deezer SA Temps pleinTreasury Operations SpecialistJoin Deezer SA as a Treasury Manager and take on the challenge of managing the company's cash flows, ensuring optimal liquidity to meet financial obligations. Your expertise will be crucial in tracking and reporting on cash inflows and outflows, guaranteeing accurate cash flow management.Investment Portfolio ManagementOversee...