France Accounting & Treasury Senior Manager

Amplifon

Paris

Sur place

EUR 90 000 - 120 000

Plein temps

Il y a 29 heures
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Avantages offerts par ce poste

Competitive compensation
Career development opportunities
Onboarding program

Résumé du poste

Amplifon, a global leader in hearing care, seeks a France Accounting & Treasury Senior Manager in Paris to ensure accurate country-level accounting, financial reporting, and treasury operations. You will oversee AP/AR/GL, month‑end close, and liquidity management while ensuring compliance with IFRS, local GAAP, and tax obligations.

You will lead a team, partner with regional and global functions, and drive process improvements and automation to strengthen financial reliability and operational

Qualifications

  • Master’s degree in Accounting, Finance, or Economics (or equivalent).
  • Experience leading accounting/treasury teams and the full accounting cycle (AP/AR/GL).
  • Knowledge of IFRS and local GAAP.
  • Treasury and cash management expertise.
  • Advanced ERP and Excel proficiency.
  • Experience with audits, tax declarations, and internal controls.

Responsabilités

  • Lead and develop the country accounting and treasury team with clear ownership.
  • Oversee full accounting cycle (AP/AR/GL) and month-end/year-end closings.
  • Manage cash management and banking activities, including liquidity.
  • Ensure statutory accounting, tax compliance, and policies are followed.
  • Act as main contact for auditors and ensure compliant audit processes.
  • Maintain internal controls and financial governance.
  • Identify improvements to enhance efficiency and automation.

Connaissances

Team leadership
IFRS knowledge
Tax compliance
Financial analysis
Process optimization
Communication
Cross-functional collaboration
Problem solving

Formation

Master’s degree in Accounting/Finance/Economics

Outils

ERP systems
Excel

Description du poste

Amplifon is an Italian multinational company and the global leader in hearing care solutions and services for retail expertise, customization and consumer care. More than 20,000 professionals every day in a network of points of sale / service centers and affiliates, give back the joy of hearing, feeling and living to thousands of people across the world.

What we are looking for

The France Accounting & Treasury Senior Manager is responsible for ensuring the accuracy, integrity, and compliance of all country-level accounting, financial reporting, and treasury operations. The role oversees Accounts Payable, Accounts Receivable, General Ledger, and cash management, internal control and fiscal compliance ensuring full adherence to statutory requirements, tax regulations, and corporate accounting policies. Acting as the key liaison between the Country Finance team and regional/global functions, the Manager drives standardization, governance, and process excellence across accounting and treasury activities. By leading month-end close, safeguarding liquidity, coordinating audits, and implementing continuous improvements, this role strengthens financial reliability, operational efficiency, and overall business performance.

Key accountabilities
  • Lead and develop the country’s accounting and treasury team, ensuring strong performance and clear ownership of responsibilities.
  • Oversee the full accounting cycle (AP, AR, GL) and ensure timely, accurate month-end and year-end closing.
  • Manage cash management and banking activities, including liquidity monitoring and treasury operations.
  • Ensure compliance with statutory accounting, tax obligations (VAT, CIT, Local taxes and Transfer Price applications), and corporate accounting policies.
  • Act as the main point of contact for internal and external auditors, ensuring efficient and compliant audit processes.
  • Safeguard internal controls, financial governance, and proper maintenance of statutory accounting books.
  • Identify and drive improvements in accounting and treasury processes to enhance efficiency, accuracy, and automation.
What you’ll need
  • Master’s degree in Accounting, Finance, or Economics is a plus.
  • Experience managing accounting/treasury teams and full accounting cycle (AP/AR/GL).
  • Knowledge of IFRS and local GAAP.
  • Understanding of tax compliance and preparation of tax declarations (VAT/CIT, Local Taxes).
  • Treasury operations expertise (cash management, liquidity, banking).
  • Advanced ERP and Excel proficiency.
  • Experience in planning/controlling, KPIs, and financial analysis.
  • Demonstrated capability in process optimization, automation, and change management
  • Full professional proficiency in English is a plus.
  • Leadership, team development, and decision-making.
  • Analytical and problem-solving abilities.
  • Internal-control and compliance mindset.
  • Ability to manage complexity, deadlines, and multiple priorities.
  • Effective communication and cross-functional collaboration.
What We Offer

In addition to the activities listed, what you will gain is equally stimulating:

  • A performance-enhancing and dynamic culture in which personal contribution is most important
  • A working atmosphere that allows you to shape our growing company and to take over responsibility from day one
  • Collaboration in a dynamic and highly motivated team as well as close cooperation with our international colleagues
  • Inspiring purpose and value driven organization
  • An attractive compensation
  • Individual career planning, customized training, a comprehensive onboarding program, a versatile e-learning platform as well as interesting development opportunities
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