EMEA Treasury Analyst
hace 4 días
Paris
Our client, a leading Multinational Company in the Retail & Wholesale Industry, is currently looking for an: EMEA Treasury Analyst Reporting to the EMEA Treasurer the candidate will join the EMEA Treasury team that manages liquidity, mitigates financial risk, and supports strategic initiatives such as M&A and digital transformation and will support and optimize the regional financial operations. Areas of responsibility: • Cash Flow & Liquidity Management: analyse and report on cash flow, liquidity, and net debt performance across the EMEA region, • Banking Relationships: cultivate partnerships with global and local banks to enhance financial services and negotiate favourable terms, • Forecasting & Planning: develop robust cash flow forecasts in collaboration with subsidiaries and business units to support strategic planning, • Treasury Systems: lead enhancements and ensure optimal use of our Treasury Management System (TMS), contributing to automation and digitalization, • Compliance & Controls: ensure adherence to internal policies and external regulations, supporting audit and risk management processes, • Credit Lines & Guarantees: coordinate with banks and subsidiaries to manage credit facilities and issue bank guarantees, • M&A Integration: support post-deal treasury integration activities, ensuring seamless onboarding into the EMEA treasury model, • Interface with the Global Business Services Centre and local finance teams to align treasury operations and share best practices, • Contribute to FX risk management strategies, including hedging and exposure analysis, • Support working capital optimization projects, collaborating with procurement and supply chain teams, • Engage in treasury transformation projects, including automation, AI-driven forecasting, and digital banking solutions, • Lead or contribute to internal training and knowledge-sharing sessions, helping elevate treasury capabilities across the region Requirements: • Bachelor’s degree in finance, Accounting, Economics, or a related field, • At least 4 years within Finance with experience in Treasury, • Proficiency in financial reporting and forecasting, • Experience with treasury management systems and software, • Advanced Excel skills and familiarity with ERP systems, • Strong analytical and problem-solving skills, • Excellent communication and interpersonal skills, • Fluent in English and French, Italian nice to have Location: Paris, France