Treasury Analyst - Cash Flow & Liquidity Specialist
ISSY LES MOULINEAUX
il y a 2 jours
Pluxee is seeking a Treasury Analyst to support daily treasury operations, cash flow forecasting, and liquidity planning within a cross-functional finance team. You will collaborate with treasury managers, accounting, and banking partners to ensure accurate reporting and strong internal controls.
The role emphasizes cash management, bank reconciliations, and data-driven treasury governance in a hybrid work environment. A 2-4 year background in treasury or related finance areas is preferred.
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Entreprise
Pluxee
Plateforme de publication
WHATJOBS
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