Lavori Treasury a Paris
• 1000+ offerteEsplora ruoli Treasury attivi a Paris.
Posizioni aperte
Treasury Analyst
Pluxee
Issy-les-Moulineaux, Ile-de-France, France, Paris, Ile-de-France, France
Full-time
Salary not specified
3 weeks ago
Treasury operationsCash flow forecastingLiquidity managementBank reconciliationFinancial reportingData analysisERP systemsTreasury management systemsExcelComplianceInternal controlsRisk monitoringCommunicationProblem-solvingOrganizationAttention to detail
Treasury operationsCash flow forecastingLiquidity managementBank reconciliationFinancial reportingData analysisERP systemsTreasury management systemsExcelComplianceInternal controlsRisk monitoringCommunicationProblem-solvingOrganizationAttention to detail
Treasury Apprentice
Euronext
Paris, Ile-de-France, France
Full-time
Salary not specified
3 weeks ago
Treasury operationsCash flow monitoringBank documentation managementAccounting reconciliationBank reconciliationMicrosoft OfficeCommunication skillsEmpathyTeamworkLeadership potentialAnalytical mindsetProblem-solvingAudit supportPayment processing
Treasury operationsCash flow monitoringBank documentation managementAccounting reconciliationBank reconciliationMicrosoft OfficeCommunication skillsEmpathyTeamworkLeadership potentialAnalytical mindsetProblem-solvingAudit supportPayment processing
Treasury Systems & Transformation Manager
Coca-Cola Europacific Partners
Paris, Ile-de-France, France
Full-time
Salary not specified
5 days ago
Treasury Management SystemsFIS QuantumSAP S/4HANAProject ManagementCash ManagementTreasury AccountingStakeholder ManagementFinancial ControlsSystem AdministrationSWIFTSOX ComplianceProcess StandardizationData IntegrityRisk ManagementBudget ManagementKYC Process
Treasury Management SystemsFIS QuantumSAP S/4HANAProject ManagementCash ManagementTreasury AccountingStakeholder ManagementFinancial ControlsSystem AdministrationSWIFTSOX ComplianceProcess StandardizationData IntegrityRisk ManagementBudget ManagementKYC Process

Treasury Apprentice
Voodoo
Paris, Ile-de-France, France
Full-time
Salary not specified
2 months ago
Cash ManagementLiquidity ManagementCash Flow ForecastingFinancial ReportingIFRS 9Risk ManagementForeign ExchangeInterest Rate ManagementExcelGoogle SheetsKyriba TMSFrench FluencyEnglish Fluency
Cash ManagementLiquidity ManagementCash Flow ForecastingFinancial ReportingIFRS 9Risk ManagementForeign ExchangeInterest Rate ManagementExcelGoogle SheetsKyriba TMSFrench FluencyEnglish Fluency

Treasury Manager H/F
Voluntae
Paris, Ile-de-France, France
Contractor
Salary not specified
5 months ago
Treasury ManagementCash ManagementFinancial ReportingLiquidity Risk AnalysisFinancial Risk ManagementBanking RelationsCash PoolingFinancial AnalysisProcess ImprovementCovenants ManagementPayment ManagementFinancial Forecasting
Treasury ManagementCash ManagementFinancial ReportingLiquidity Risk AnalysisFinancial Risk ManagementBanking RelationsCash PoolingFinancial AnalysisProcess ImprovementCovenants ManagementPayment ManagementFinancial Forecasting

Senior Sales Exec, Treasury (France)
FIS Global
Paris, Ile-de-France, France
Other, Full-time
EUR70,000 - EUR100,000
4 weeks ago
B2B SalesFintechTreasury ManagementPaymentsBankingPipeline ManagementConsultative SellingStakeholder EngagementContract NegotiationAccount StrategyCorporate FinanceLiquidity Solutions
B2B SalesFintechTreasury ManagementPaymentsBankingPipeline ManagementConsultative SellingStakeholder EngagementContract NegotiationAccount StrategyCorporate FinanceLiquidity Solutions
Group Treasury & Financing Manager
Upway
Paris, Ile-de-France, France
Full-time
EUR80,000 - EUR90,000
5 months ago
Treasury ManagementFinancial AnalysisBanking RelationsCash ForecastingAnalytical SkillsProblem SolvingProject ManagementStakeholder ManagementAdaptabilityTeamworkCommunicationFinancial StrategyCash ManagementBilingual CommunicationData Insights
Treasury ManagementFinancial AnalysisBanking RelationsCash ForecastingAnalytical SkillsProblem SolvingProject ManagementStakeholder ManagementAdaptabilityTeamworkCommunicationFinancial StrategyCash ManagementBilingual CommunicationData Insights
Senior analyst treasury systems & projects
Pernod Ricard
Paris, Ile-de-France, France
Full-time
Salary not specified
2 months ago
Treasury Management SystemsProject ManagementCash ManagementLiquidity ManagementBanking ConnectivityERP ImplementationBusiness AnalysisUser Acceptance TestingProcess OptimizationChange ManagementFinancial Risk ManagementStakeholder Management
Treasury Management SystemsProject ManagementCash ManagementLiquidity ManagementBanking ConnectivityERP ImplementationBusiness AnalysisUser Acceptance TestingProcess OptimizationChange ManagementFinancial Risk ManagementStakeholder Management
Group Treasury & Accounting Manager
Welcome to the Jungle France
Paris, Ile-de-France, France
Full-time
Salary not specified
2 weeks ago
Treasury ManagementAccounts PayableAccounts ReceivableFinancial ClosingPeople ManagementCash Flow ForecastingFrench GAAPIFRSNetSuiteTax ComplianceIntercompany ReconciliationAutomationAI ImplementationAudit ManagementForeign Exchange ManagementFinancial Reporting
Treasury ManagementAccounts PayableAccounts ReceivableFinancial ClosingPeople ManagementCash Flow ForecastingFrench GAAPIFRSNetSuiteTax ComplianceIntercompany ReconciliationAutomationAI ImplementationAudit ManagementForeign Exchange ManagementFinancial Reporting
Director, Treasury Solutions Group (f/m/d)
HSBC
Paris, Ile-de-France, France
Full-time
EUR150,000 - EUR160,000
2 months ago
Treasury ManagementPayment SolutionsStakeholder ManagementProduct CommercialisationThought LeadershipStrategic PlanningTreasury ConsultingRisk Appetite SettingWorking Capital MetricsPeople ManagementCommunication SkillsTreasury Policy DevelopmentPayout InfrastructureClient Relationship ManagementFinancial AnalysisStrategic Roadmap Design
Treasury ManagementPayment SolutionsStakeholder ManagementProduct CommercialisationThought LeadershipStrategic PlanningTreasury ConsultingRisk Appetite SettingWorking Capital MetricsPeople ManagementCommunication SkillsTreasury Policy DevelopmentPayout InfrastructureClient Relationship ManagementFinancial AnalysisStrategic Roadmap Design
KERING Treasury & Back-Office Analyst
Kering
Paris, Ile-de-France, France
Full-time
Salary not specified
5 weeks ago
Cash ManagementFinancial AnalysisSAPTeamworkCommunicationProblem SolvingAttention to DetailBanking OperationsTreasury ManagementFinancial ReportingProcess OptimizationData AnalysisCurrency ManagementRisk ManagementProject ManagementMicrosoft Office
Cash ManagementFinancial AnalysisSAPTeamworkCommunicationProblem SolvingAttention to DetailBanking OperationsTreasury ManagementFinancial ReportingProcess OptimizationData AnalysisCurrency ManagementRisk ManagementProject ManagementMicrosoft Office

Treasury Operations Manager (Francophone Africa)
Taptap Send
Paris, Ile-de-France, France, London, England, United Kingdom
Full-time
Salary not specified
3 months ago
Treasury OperationsCredit Risk ManagementCounterparty Risk AssessmentFinancial ModelingPartner Relationship ManagementRisk MitigationAnalytical RigourFrench FluencyEnglish FluencyCross-functional CollaborationEmerging Markets ExpertiseOperational Framework Design
Treasury OperationsCredit Risk ManagementCounterparty Risk AssessmentFinancial ModelingPartner Relationship ManagementRisk MitigationAnalytical RigourFrench FluencyEnglish FluencyCross-functional CollaborationEmerging Markets ExpertiseOperational Framework Design
STAGE - TREASURY ANALYST - Corporate (H/F/X)
CHANEL
Paris, Ile-de-France, France
Full-time
Salary not specified
4 days ago
Treasury managementCash flow forecastingFinancial reportingExcelPower BIBusiness planningFinancial analysisData analysisRevalCapital structureProcess optimizationCommunication skillsAnalytical skills
Treasury managementCash flow forecastingFinancial reportingExcelPower BIBusiness planningFinancial analysisData analysisRevalCapital structureProcess optimizationCommunication skillsAnalytical skills
Consultant Senior - Market Risks & Treasury - H/F
PwC
Neuilly-sur-Seine, Ile-de-France, France, Paris, Ile-de-France, France
Full-time
Salary not specified
3 months ago
Market Risk ManagementTreasury ManagementIFRS 9Financial Instrument ValuationCash ManagementFinancial ModelingAuditCorporate FinanceHedging StrategiesEnglish ProficiencyFrench ProficiencyAnalytical ThinkingFinancial ReportingRisk Policy DefinitionEnergy Trading Audit
Market Risk ManagementTreasury ManagementIFRS 9Financial Instrument ValuationCash ManagementFinancial ModelingAuditCorporate FinanceHedging StrategiesEnglish ProficiencyFrench ProficiencyAnalytical ThinkingFinancial ReportingRisk Policy DefinitionEnergy Trading Audit
Senior Analyst, Group Treasury Risk & Reporting (F/H)
Unibail-Rodamco-Westfield
Paris, Ile-de-France, France
Full-time
Salary not specified
2 weeks ago
Corporate financeTreasury managementFinancial reportingDebt analysisRisk managementExcelFinancial modelingData analysisArtificial intelligenceProcess automationMarket financeTreasury policyFinancial communicationStakeholder managementEnglish proficiency
Corporate financeTreasury managementFinancial reportingDebt analysisRisk managementExcelFinancial modelingData analysisArtificial intelligenceProcess automationMarket financeTreasury policyFinancial communicationStakeholder managementEnglish proficiency
Capital Market _Business Analyst ALM Treasury - H/F
Talan
Paris, Ile-de-France, France
Temps Complet
Salary not specified
5 weeks ago
ALMLiquidity IndicatorsFinancial Product ValuationTreasury ManagementFX Risk HedgingSQLEnglish ProficiencyBusiness AnalysisFunctional SpecificationsProject CoordinationChange ManagementUser Support
ALMLiquidity IndicatorsFinancial Product ValuationTreasury ManagementFX Risk HedgingSQLEnglish ProficiencyBusiness AnalysisFunctional SpecificationsProject CoordinationChange ManagementUser Support
Capital Market _Business Analyst ALM Treasury - H/F
Talan
Paris, Ile-de-France, France
Temps Complet
Salary not specified
7 months ago
ALMLiquidity ManagementFinancial Product ValuationTreasury ManagementRisk HedgingSQLEnglish LanguageOrganizationAdaptabilityTeam SpiritCreativityInitiative
ALMLiquidity ManagementFinancial Product ValuationTreasury ManagementRisk HedgingSQLEnglish LanguageOrganizationAdaptabilityTeam SpiritCreativityInitiative
Capital Market _Business Analyst ALM Treasury - H/F
Talan
Paris, Ile-de-France, France
Temps Complet
Salary not specified
2 months ago
ALM (Asset Liability Management)Liquidity IndicatorsFinancial Product ValuationTreasury ManagementFX Risk HedgingSQLEnglish ProficiencyBusiness AnalysisFunctional SpecificationsProject CoordinationChange ManagementUser Support
ALM (Asset Liability Management)Liquidity IndicatorsFinancial Product ValuationTreasury ManagementFX Risk HedgingSQLEnglish ProficiencyBusiness AnalysisFunctional SpecificationsProject CoordinationChange ManagementUser Support
Capital Market _Business Analyst ALM Treasury - H/F
Talan
Paris, Ile-de-France, France
Temps Complet
Salary not specified
9 months ago
ALMLiquidity ManagementFinancial Product ValuationTreasury ManagementRisk HedgingSQLEnglishProject CoordinationFunctional SpecificationsChange ManagementUser SupportOrganizationAdaptabilityTeam SpiritCreativityInitiative
ALMLiquidity ManagementFinancial Product ValuationTreasury ManagementRisk HedgingSQLEnglishProject CoordinationFunctional SpecificationsChange ManagementUser SupportOrganizationAdaptabilityTeam SpiritCreativityInitiative
Capital Market _Business Analyst ALM Treasury - H/F
Talan
Paris, Ile-de-France, France
Temps Complet
Salary not specified
4 months ago
ALMLiquidity IndicatorsFinancial Product ValuationTreasury ManagementFX Risk HedgingSQLEnglish ProficiencyBusiness AnalysisFunctional SpecificationsProject CoordinationChange ManagementUser Support
ALMLiquidity IndicatorsFinancial Product ValuationTreasury ManagementFX Risk HedgingSQLEnglish ProficiencyBusiness AnalysisFunctional SpecificationsProject CoordinationChange ManagementUser Support
Treasury Analyst
• via WorkdayPluxee
Issy-les-Moulineaux, Ile-de-France, France, Paris, Ile-de-France, France
Full-time
Salary not specified
3 weeks ago
Hybrid
Key Skills
Treasury operationsCash flow forecastingLiquidity managementBank reconciliationFinancial reportingData analysisERP systemsTreasury management systemsExcelComplianceInternal controlsRisk monitoringCommunicationProblem-solvingOrganizationAttention to detail