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Finance Manager - Banking, Regulatory & Treasury

Alma

Paris

Hybride

EUR 60 000 - 80 000

Plein temps

Aujourd’hui
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Résumé du poste

A fast-growing fintech company in Paris is looking for a Finance Manager to oversee banking, regulatory compliance, and treasury operations. With a key role in ensuring accurate financial reporting, this position necessitates strong foundations in accounting, banking expertise, and the ability to manage cash and liquidity effectively. The ideal candidate will have 5–8 years of relevant experience, strong analytical skills, and fluency in French and English. This position is pivotal for driving the company's financial integrity and strategic initiatives.

Qualifications

  • 5–8 years of experience in audit or accounting, including exposure to banking/fintech.
  • Track record of delivering accurate reporting under tight deadlines.
  • Rigorous, detail-oriented with a strong control mindset.

Responsabilités

  • Guarantee accuracy of financials and reporting to regulators.
  • Lead the regulatory reporting obligations for the company.
  • Manage daily cash operations and monitor liquidity KPIs.

Connaissances

Accounting and financial reporting
Banking accounting
Treasury or cash management
Analytical skills
Fluency in English and French
Description du poste
Finance Manager - Banking, Regulatory & Treasury

Paris, Paris, France

About the company

We are a fast-growing European fintech with a mission to build the leading BNPL platform on the continent by 2030. As a regulated financial institution operating at scale, we face two critical imperatives:trust and resilience. That means we need flawless accounting and regulatory reporting, as well as strong control of our cash and financing flows.

To strengthen this backbone, we are looking for a Finance Manager – Banking, Regulatory & Treasury who will work directly with the VP Finance (acting as CFO) and partner with our Accounting Manager. This role covers a unique scope at the crossroads of accounting expertise, regulatory compliance, and treasury, three critical pillars that sustain Alma’s growth and credibility in front of regulators, investors, auditors, and partners.

About the job

Reporting directly to the VP Finance, you will play a central role in guaranteeing the accuracy of our financials, the robustness of our reporting to regulators, and the steering of Alma’s liquidity.

  • Accounting oversight & Banking accounting expertise
    • Partner with our Accounting Manager to review and challenge monthly accounts before closing, acting as an “internal auditor” within Finance.
    • Bring banking/financial services accounting expertise, becoming the go-to person on complex Banking accounting matters.
    • Support strategic initiatives in close partnership with our Accounting Manager (international expansion, implementation of new financing structures, new revenue streams, etc.).
  • Regulatory reporting lead
    • Take full ownership of Alma’s quarterly and annual regulatory reporting obligations (incl. COREP/RUBA, ACPR requests).
    • Ensure consistency, timeliness, and quality of submissions.
    • Partner with the VP Finance on strategic regulatory topics, including capital requirements, large exposures, and interactions with the regulator.
  • Treasury & cash management
    • Own daily cash management (operations, refinancing flows, payments).
    • Monitor liquidity KPIs, ensure proper funding of operations, and optimize daily and weekly cash positions.
    • Work closely with Capital Markets and Financing team to connect operational flows with strategic financing structures.

You’ll directly influence how Alma’s financials are produced, reported to regulators, and used to steer the company. You’ll work alongside the Accounting Manager while taking on a broad and strategic scope across oversight, regulatory reporting, and treasury; a great opportunity to build a career in corporate finance with direct impact and exposure.

About you

Required skills:

  • Strong foundations in accounting and financial reporting; knowledge of banking accounting is a must-have (e.g., audit/advisory for financial institutions).
  • Practical experience in treasury or cash management is a plus.
  • Strong analytical skills, able to review, challenge, and explain financial data to both finance experts and non-experts.
  • Fluency in English and French, Alma’s working languages.

Experience & soft skills:

  • 5–8 years of experience in audit or accounting, including exposure to banking/fintech.
  • Track record of delivering accurate reporting under tight deadlines.
  • Rigorous and detail-oriented, with a strong control mindset.
  • Curious and pragmatic, able to dig into technical questions but also step back to assess business implications.
  • Collaborative and proactive: you see yourself as a partner to the Accounting and Financing teams.
  • Comfortable working in a fast-growing, regulated fintech environment where priorities can shift quickly.

You're not sure if you meet 100% of the criteria and that's making you hesitate to apply?

👉At Alma, we believe that diversity drives innovation and strengthens our community and are committed to creating a workplace where everyone feels respected, valued, and empowered to contribute. We are proud to be an equal opportunity employer and welcome applicants from all backgrounds and experiences. All employment decisions are made based on qualifications, experiences, merit, and business needs without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, disability or any other legally protected characteristic.

So please take your chance, apply anyway !

About the recruitment process

We expect the process to last 3–4 weeks:

  • Introductory call with Talent Acquisition – 30 minutes
  • Technical interview with VP Finance (Hiring Manager) – 45 minutes
  • Case study presentation and live feedback with VP Finance + Accounting Manager + Head of Strategic Finance – 1 hour
  • Technical interview with Head of Financing — 45mn
  • Two reference calls

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