Chargement en cours

Cash Management and Back Office Analyst W/M

PARIS, 75
il y a 24 jours

Eramet is one of the world's leading mining and metallurgical companies. By joining a key player in metal mining, the development and transformation of high value-added alloys, you take the risk of experiencing intense emotions in each of your missions!

With nearly 10,400 employees in 15 countries supporting the energy transition, Eramet is constantly looking for valuable resources. And for us, you are the precious resource!

Join Eramet, let your talent beat stronger.

Cash Management and Back Office Analyst W/M

Position Reference: 44868

Location: Paris, FR

Contract type: Permanent

Job Description

The position is based in Paris or Clermont-Ferrand (with travel to Paris).

Reporting to the Cash Management and Back Office Manager, and working with other team members, the Cash Management and Back Office Analyst will have the following responsibilities:

Daily cash management for the France perimeter (Group bank accounts in France).

  • Daily cash management tasks (reconciliations, balancing, fund calls, etc.).,
  • Daily back office tasks (financing and investment operations, FX hedging, etc.).

Administrative management

  • Participation in monthly closings (interest scales, rate publications, etc.).
  • Management of the monthly foreign exchange position.
  • Management of current accounts and group loans for ERAMET SA (requesting configuration of new accounts and updating limits in Diapason).
  • Management of financial operations for borrowings and investments (interest maturities, due dates, etc.).
  • Participation in projects (FXAll, AI, etc.).
  • Keeping procedures up to date.
  • Management of bank accounts (openings/closures, bank fees, KYC).
  • Management and continuous improvement of daily reports and monthly and quarterly forecasts.

This list is not exhaustive and evolves according to the Group's needs.

Your Profile

  • Bachelor's/Master's degree in Finance, Treasury, or equivalent.
  • Essential experience in Treasury (Back Office / Cash Management).
  • Good knowledge of treasury processes (cash management, currencies, payments).
  • Comfortable in a structured and multi-stakeholder environment.
  • Proactive, rigorous, autonomous, with a sense of organization and operational reliability.
  • Professional English is mandatory.
  • Knowledge of tools such as Diapason, Power Query, Power Pivot, Power BI would be a plus.

Every day at Eramet, we strive to be a responsible player in the mining industry and to reduce our ecological footprint.

If you are looking for a stimulating, inclusive, and international work environment, join us and become the new face of mining!

Benefits

Join Eramet's teams and benefit from:

  • An attractive compensation package including a fixed annual salary, variable compensation linked to your performance, profit-sharing, and various bonuses depending on your position.
  • Access to an employee shareholding program.
  • A comprehensive savings and retirement plan co-financed by the company.
  • 100% coverage of your Navigo pass.
  • Up to 2 days of teleworking per week according to current policies.
  • Health insurance and provident coverage.
  • Access to discounted leisure offers.

Present on five continents and bringing together more than 70 nationalities, Eramet is inherently a group rich in diversity. Convinced that diversity is an asset, we are committed to welcoming all talents, regardless of their gender, disability, age, social or cultural background, or sexual orientation. To all, we guarantee support and development opportunities throughout their professional journey.

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Entreprise
ERAMET
Plateforme de publication
WHATJOBS
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