Chargement en cours

Alternant(e) Trésorerie Groupe

PARIS, 75
il y a 1 jour

Within the Group Albea Central Treasury, the apprentice will play a key role in the daily management of the group’s treasury and financing activities. Responsibilities include collecting and consolidating cash flow forecasts from subsidiaries, managing liquidity (multi-currency cash pooling, authorized overdrafts), and administering cash needs and surpluses. The apprentice will also participate in monitoring financing arrangements (revolving credit facilities, intercompany loans, factoring contracts) and producing financial reports.

Additionally, the apprentice will contribute to the efficient operation of the Kyriba treasury software by performing daily controls, managing anomalies, providing user support, and handling occasional system configurations. Other ad hoc tasks are planned, such as process improvement, conducting specific analyses, and implementing new standards. The position is set in an international environment, requiring regular communication in English with the financial teams of the subsidiaries.

About Albea & the Product line that is recruiting

Scope

  • Responsible for Group cash management, financing operations, and treasury information systems support
  • Based at Albea Central Treasury (international scope, multi-currency operations, coordination with all subsidiaries)

Main activities

  • Collect and consolidate weekly cash flow forecasts from subsidiaries
  • Manage daily liquidity, including multi-currency cash pooling and authorized overdrafts
  • Administer subsidiaries’ cash needs and surpluses
  • Monitor drawdowns on the revolving credit facility and control interest calculations
  • Manage intercompany loans (fixed/variable rates, early repayments, extensions), update and track legal contracts, and calculate monthly interests
  • Supervise and coordinate deconsolidating factoring contracts and related reinsurance policies Produce various financial reports (debt, results, etc.)
  • Ensure the proper functioning of the Kyriba treasury software: daily account statement controls, anomaly management, user support, and occasional system configurations
  • Review, formalize, and improve treasury processes
  • Implement new technical and accounting standards

Accountability including KPIs

  • Guarantee the reliability and consolidation of weekly cash flow forecasts from subsidiaries.
  • Ensure daily liquidity management, including multi-currency cash pooling and authorized overdrafts.
  • Be accountable for the administration of subsidiaries’ cash needs and surpluses.

Profile (Qualification & Experience)

  • Degree in Finance, Business Administration, or Treasury (Bac+3/+5, Business School or University Master’s level).
  • Ideally, first experience (internship or apprenticeship) in finance or treasury.
  • Fluent in both written and oral English.
  • Knowledge of treasury management environments, Microsoft Office tools (especially Excel), and interest in information systems (Kyriba or similar treasury software).
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Entreprise
Albéa Group
Plateforme de publication
WHATJOBS
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