Experienced Manager / Senior Manager - Treasury Audit & Financial Instruments – Neuilly sur Seine (M/F)
Take part in the strategic treasury challenges of large groups! In a context of developing our expertise, we are looking for an Experienced Manager / Senior Manager capable of intervening on complex issues related to treasury, financial instruments, and financial risk management. Within our Treasury unit, you will support large French and international groups on high value-added topics, at the crossroads of audit, corporate finance, and IFRS issues. This position offers a unique opportunity to combine technical expertise, proximity to finance departments, and active participation in the development of a strategic offering.
Your role As a referent on Treasury and Financial Instruments topics, you will lead missions for large groups and support audit teams on the most sensitive issues. In this capacity, you will specifically intervene on: The audit of treasury activities, financing operations, and financial instruments.
The analysis of risks related to liquidity, foreign exchange, interest rates, and more broadly, financial risks.
The evaluation of internal control mechanisms and risk management processes in connection with treasury activities.
The review of financing, refinancing, and hedging operations.
The assessment of the robustness of treasury organizations, systems, and tools.
The supervision and skill development of the team.
The support of finance and treasury departments in their strategic reflections.
Finally, you will play a key role in the development of our activities by participating in commercial proposals.
To optimize this experience, you will also participate, in support of our Doctrine Department and its manager, in strengthening our IFRS and Financial Instruments expertise by conducting technical consultations, contributing to our Department's work, and supporting teams on IAS 32, IFRS 7, and IFRS 9 topics. In this framework, you may be called upon to contribute to working groups and reflections on financial instruments within professional and normative bodies and the international GT network.
You have significant experience, acquired in an audit firm, consulting, or within a treasury department, which has allowed you to develop recognized expertise in treasury activities and financial instruments.
You are accustomed to operating in complex and international environments and are comfortable interacting with high-level stakeholders, whether they are CFOs, group treasurers, or internal control departments.
Beyond your technical skills, you are able to understand the operational and strategic challenges of your clients regarding financing and treasury management in order to propose pragmatic and value-creating analyses.
You master the accounting issues relating to financial instruments, notably IAS 32, IFRS 7, and IFRS 9, as well as issues related to financing operations, hedging strategies, and financial risk management.
Recognized for your analytical spirit, your ability to challenge complex situations, and your excellent interpersonal skills, you know how to unite teams and develop lasting relationships of trust with your clients.
Mastery of English, both written and spoken, is indispensable.
Why join us? The opportunity to work with the finance and treasury departments of the largest groups.
Highly technical missions combining audit, consulting, and IFRS expertise regarding financial instruments.
A key role in the development of a high-growth strategic offering.
Significant visibility with partners and clients.
The possibility to contribute to technical reflections within professional bodies and the international network.
An entrepreneurial environment offering autonomy, responsibility, and evolution prospects.
Join a team where your expertise will be recognized, valued, and put at the service of the most strategic financial challenges. Position open to workers with disabilities.
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