Treasury Analyst

Pluxee

Paris

Hybride

EUR 45 000 - 65 000

Plein temps

Il y a 3 jours
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Résumé du poste

Pluxee, a global leader in Employee Benefits and Engagement, is seeking a Treasury Analyst in Paris. You will support daily treasury operations, cash forecasting, and liquidity planning within a multinational finance team.

This role requires 2–4 years in treasury or related fields, strong Excel and data analysis, and English proficiency; French is a plus. Hybrid work arrangements apply at the Paris hub.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or related field.
  • 2–4 years of experience in treasury, finance, accounting, banking, or cash management activities.
  • Strong Excel and data analysis skills.
  • Attention to detail, organization, and problem-solving capabilities.
  • Strong communication and collaboration skills.
  • Languages: English required; French is an advantage.

Responsabilités

  • Support daily treasury operations: payments, cash positioning, bank reconciliations, monitoring, and follow-up.
  • Prepare cash forecasts and analyze variances; assist liquidity monitoring and working capital reviews.
  • Produce treasury reports, dashboards, KPIs, and maintain data and documentation.
  • Ensure compliance with internal controls and treasury policies; assist audits.
  • Contribute to system tests, documentation, and process improvements.

Connaissances

Excel
Data analysis
Attention to detail
Communication
Collaboration

Formation

Bachelor's degree in Finance/Accounting/Economics/Business Administration

Outils

Treasury Management Systems
ERP systems
Banking platforms

Description du poste

Pluxee is a global player in Employee Benefits and Engagement that operates in 28 countries. Pluxee helps companies attract, engage, and retain talent thanks to a broad range of solutions across Meal & Food, Well-being, Lifestyle, Reward & Recognition, and Public Benefits.

Powered by leading technology and more than 5,600 engaged team members, Pluxee acts as a trusted partner within a highly interconnected B2B2C ecosystem made up of more than 500,000 clients, 37 million+ consumers and 1.7 million+ merchants.

Conducting business for more than 45 years, Pluxee is committed to creating a positive impact on local communities, supporting well-being at work for employees, and protecting the planet.

The Treasury Analyst supports treasury operations, cash flow monitoring, liquidity planning, and financial reporting activities within the treasury function. The role contributes to daily treasury execution, bank reconciliations, cash forecasting, and treasury data analysis while ensuring compliance with Group treasury policies and internal controls.

Reporting to: Middle Office Manager

  • Treasury Operations Support Support daily treasury operations, including payments, cash positioning, bank reconciliations, transaction monitoring, and operational follow-up. Ensure treasury transactions are processed accurately and within required timelines. Monitor bank account balances and investigate discrepancies, missing transactions, or operational issues. Support the management of intercompany funding, treasury documentation, and operational treasury records. Escalate payment issues, liquidity concerns, bank discrepancies, or process exceptions when needed.
  • Cash Forecasting and Liquidity Analysis Prepare and update short-term cash flow forecasts based on operational inputs, historical trends, and expected cash movements. Analyze variances between forecasted and actual cash movements and support the identification of root causes. Support liquidity monitoring, working capital analysis, cash utilization reviews, and short-term funding visibility. Assist in identifying opportunities for cash optimization, reduced idle cash, and process efficiency. Provide forecast updates and cash analysis to treasury managers or finance stakeholders as required.
  • Treasury Reporting and Data Management Prepare treasury reports, dashboards, operational KPIs, cash summaries, bank account updates, and liquidity analysis. Maintain treasury data, banking records, transaction files, intercompany funding documentation, and supporting evidence. Support data consolidation and reporting activities for Group Treasury, local Finance, or management review. Assist in preparing materials for audits, compliance reporting, management presentations, and treasury governance discussions. Ensure that treasury reporting data is accurate, consistent, traceable, and delivered on time.
  • Compliance and Risk Monitoring Ensure treasury activities comply with internal controls, treasury policies, banking procedures, Golden Rules, and relevant regulatory requirements. Support Know Your Customer, anti-money laundering, bank documentation, mandate management, and banking compliance processes. Monitor treasury operational risks, including payment errors, fraud indicators, access issues, documentation gaps, and bank account anomalies. Assist with audit requests, internal control reviews, and treasury compliance checks. Escalate control gaps or risk indicators to the Treasury Manager or Group Treasury stakeholders.
  • Systems and Process Support Support Treasury Management Systems, ERP tools, banking platforms, payment systems, and reporting tools used in treasury activities. Participate in system testing, updates, data validation, user acceptance testing, and process improvement initiatives. Contribute to treasury process documentation, operational guidelines, checklists, and user instructions. Help improve automation, reporting efficiency, data quality, and workflow reliability within treasury activities. Support continuous improvement of treasury operations through accurate execution, documentation, and feedback.
  • Education: Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or related field.
  • Work Experience: 2–4 years of experience in treasury, finance, accounting, banking, or cash management activities. Experience in multinational environments is an advantage.
  • Skills & Certifications: Basic understanding of treasury operations, liquidity management, and banking processes. Experience with ERP systems, Treasury Management Systems, or banking platforms is a plus. Strong Excel and data analysis skills. Attention to detail, organization, and problem-solving capabilities. Strong communication and collaboration skills.
  • Languages: For global, regional, or area roles, fluency in English is required. Additional languages such as French, Spanish, Portuguese, or other relevant languages are an advantage.
  • Collaboration across different countries, functions, and time zones. Travel may be required depending on business needs. For local roles: Hybrid working environment depending on local policies. Collaboration with local business teams and relevant regional or global stakeholders. Occasional travel may be required depending on business needs.

Hybrid model : our HQ is located in Issy-Les-Moulineaux

Happy at work:

1) A meaningful job: Be the change! Help us build the future of employee benefits by bringing to life sustainable and personalized experiences and contribute to make a real impact on millions of lives. Our business model delivers not just for individuals but their communities too, by supporting local businesses and economies.

2) A great culture: People matter – a lot! Be part of a multicultural team that moves as one in a fast paced and innovative environment. We respect and care authentically about our people, we embrace wellbeing and work-life balance, new ideas and we have a lot of fun!

3) An empowering environment: Be yourself! At Pluxee we proudly embrace diversity and value the uniqueness of our talents, fostering an inclusive workplace where all abilities are celebrated, and equal learning and growing opportunities are a given.

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