Treasury Specialist (33757)

Eni Deutschland GmbH

Paris

On-site

EUR 65,000 - 90,000

Full time

14 days+
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Job summary

Eni Deutschland GmbH seeks a Treasury Specialist based in Paris to lead cash receipts/payments monitoring and cash flow forecasting. You will interact with banking partners, oversee credit facilities and intercompany funding, and drive improvements in treasury controls.

The role requires a degree in finance or related field, plus audit-to-treasury experience and strong Excel/ERP skills (SAP S/4HANA). Fluency in French and English is expected.

Qualifications

  • Degree in Business, Finance, Audit, Accounting, Engineering or related field.
  • Experience in internal or external audit, then treasury experience is preferred.
  • Strong knowledge of cash management, treasury operations, corporate financing and financial controls.

Responsibilities

  • Establish KPIs and monitor cash receipts and payments.
  • Monitor daily cash positions and funding requirements.
  • Prepare short-, medium-, and long-term cash flow forecasts.
  • Analyze variances between forecast and actual cash flows and recommend actions.
  • Identify risks with stakeholders and define controls for cash management and payments.
  • Contribute to automation of cash flow forecasting and reporting.
  • Monitor bank financing arrangements and intercompany funding.
  • Manage banking covenants and relationships with financial partners.

Skills

Analytical
Organisational skills
Problem-solving
Stakeholder management
Communication skills
Continuous improvement mindset

Education

Degree in Business/Finance/Audit/Accounting/Engineering

Tools

SAP S/4HANA
Kraken
ERP systems

Job description

Job title: Treasury Specialist

Location: Paris, France

Contract type: Permanent

Language requirements: Proficient in French and English

Responsibilities
Cash Receipts and Payments Monitoring
  • Establish KPIs and monitor completed and upcoming cash receipts and payments.
  • Monitor daily cash positions and funding requirements.
  • Prepare short-, medium-, and long-term cash flow forecasts.
  • Analyse variances between forecast and actual cash flows and recommend corrective actions.
  • Understand the company’s key operational and financial processes, identify major risks with business stakeholders (including fraud and IT-related risks), and define the key controls required in relation to cash management and related payments.
  • Contribute to the automation of cash flow forecasting and reporting.
Business Financing and Banking Management
  • Monitor credit facilities, bank financing arrangements, and intercompany funding.
  • Participate in financing activities required to support business growth.
  • Manage and monitor bank guarantees, sureties, and letters of credit.
  • Establish and monitor banking covenants and related performance indicators.
  • Act as the primary point of contact for banking and financial partners.
Qualifications
  • Degree in Business, Finance, Audit, Accounting, Engineering, or a related field.
  • Experience in internal or external audit, with subsequent experience in corporate treasury.
  • Experience within a multinational or multi-entity environment; energy sector experience is an advantage.
  • Strong knowledge of cash management, treasury operations, corporate financing, and financial controls.
  • Solid accounting and financial background.
  • Advanced Excel skills and experience with ERP and Treasury Management Systems (ideally SAP S/4HANA); knowledge of Kraken is a plus.
  • Strong analytical, organisational, and problem-solving skills, with a proactive and continuous improvement mindset.
  • Excellent stakeholder management and communication skills.
  • Ability to operate effectively in a complex and highly regulated environment.
Application Process
  • Applications are only accepted through our online application system.
  • Please upload your CV in English.
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