Cash Management & Private Equity Operations Specialist

Access Capital Partners

Paris

Sur place

EUR 12 000 - 18 000

Plein temps

Il y a 12 jours
Générateur de candidature

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Résumé du poste

Access Capital Partners in Paris is offering an apprenticeship position in the Cash Management team, within the Middle Office, starting academic year 2026/27. You will monitor daily cash flows, support banking reconciliations, and coordinate with banks across Europe under supervision.

The role requires a Master 1 or Master 2 in Finance, excellent written and spoken English, strong Excel and Word skills, and being a team player with high attention to detail.

Qualifications

  • Apprenticeship – start of the academic year 2026/27 – Master 1 or Master 2 in Finance from University or Business School.
  • Excellent written and verbal knowledge of English is absolutely required (75% of communication takes place in English).

Responsabilités

  • Monitor daily cash flows related to investments and service providers.
  • Participation in banking and accounting reconciliation processes.
  • Coordinate with Banks and Depositaries in France, Luxembourg and elsewhere in Europe.
  • Collaboration with others Middle Office team members.
  • Assist in development of performance analysis and reporting tools related to cash management.

Connaissances

MS Excel
MS Word
Attention to detail
Team player
Private assets interest

Formation

Master 1/2 in Finance

Outils

MS Excel
MS Word

Description du poste

Access Capital Partners in Paris is offering an apprenticeship position in the Cash Management team, within the Middle Office, starting academic year 2026/27. You will monitor daily cash flows, support banking reconciliations, and coordinate with banks across Europe under supervision.

The role requires a Master 1 or Master 2 in Finance, excellent written and spoken English, strong Excel and Word skills, and being a team player with high attention to detail.

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