Cash & Finance Operations Specialist – Fixed-term Contract

Jobtailor

Lyon

Sur place

EUR 45 000 - 65 000

Plein temps

14 jours+
Générateur de candidature

Une candidature sur mesure pour ce poste — un CV et une lettre de motivation personnalisés qui correspondent à l’offre.

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Résumé du poste

Jobtailor is seeking a finance professional in Lyon to monitor the group’s treasury operations, verify bank entries, and support cash-flow planning and budget monitoring. You will manage banking relationships and contribute to improving internal controls, ensuring reliable financial processes across the organization.

The role requires autonomy in a changing environment, fluent English, and advanced Excel skills. Based in Lyon, it offers opportunities to grow within a dynamic finance team.

Qualifications

  • Proven experience in Treasury, Audit, or Management Control.
  • Fluent English, both spoken and written.
  • Advanced proficiency in Excel.
  • Autonomous and adaptable to a changing environment.

Responsabilités

  • Operational monitoring of the group’s treasury.
  • Verify completeness and accuracy of bank entries imported from the accounting ERP.
  • Prepare and update cash-flow planning and budget monitoring.
  • Manage banking relationships.
  • Contribute to the monitoring and improvement of internal control procedures.
  • Participation in securing financial and banking flows.
  • Ensuring the reliability of financial processes.

Connaissances

Treasury experience
Audit
Management Control

Outils

Excel

Description du poste

Responsibilities
  • Operational monitoring of the group’s treasury
  • Verification of the completeness and accuracy of bank entries imported from the accounting ERP
  • Preparation and updating of cash‑flow planning and budget monitoring
  • Management of banking relationships
  • Contribution to the monitoring and improvement of internal control procedures
  • Participation in securing financial and banking flows
  • Ensuring the reliability of financial processes
Requirements
  • Proven experience in Treasury, Audit, or Management Control
  • Fluent English, both spoken and written
  • Advanced proficiency in Excel
  • Autonomous and adaptable to a changing environment
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