обновлено 5 дней назад
Group Treasury & Accounting Manager
65 000 - 75 000€
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Group Treasury & Accounting Manager (Accounting, Treasury, and AI Automation): Overseeing group-level accounting, accounts payable, accounts receivable, treasury, tax compliance, and financial close activities across French and international entities with an accent on multi-jurisdiction compliance, cash management, and team leadership. Focus on improving finance processes, adopting automation and AI-powered tools, managing intercompany flows, and developing a team of six.
Location: Paris, France, with a few days working from home
Salary: €65,000–€75,000 per year
Company
operates an international, fast-scaling organization with subsidiaries in France and other countries.
What you will do
- Manage and develop a team of six across accounts payable, accounts receivable, and general accounting.
- Oversee accounting operations, monthly and annual closings, reconciliations, intercompany eliminations, and audit documentation.
- Supervise billing, collections, revenue recognition, and the Purchase-to-Pay cycle.
- Manage cash flow monitoring, bank reconciliations, short-term forecasting, foreign exchange exposure, cash pooling, and intercompany loans.
- Oversee VAT, corporate tax, and other tax filings across multiple jurisdictions while coordinating with auditors, tax authorities, and legal teams.
- Improve accounting procedures and lead the adoption of automation and AI-powered finance tools.
Requirements
- Bachelor’s or Master’s degree in Accounting, Finance, or a related field; CPA, DSCG, ACA, ACCA, or equivalent certification is strongly preferred.
- At least 8 years of professional accounting experience in multi-entity or international environments.
- Fluent French and English, written and spoken, required for daily work.
- Strong knowledge of French GAAP (PCG) and IFRS; UK or US GAAP knowledge is a plus.
- Experience managing accounting and treasury operations in a fast-growing international company.
- Strong command of Excel, Google Sheets, ERP systems, cash management platforms, and related accounting tools.
Nice to have
- Experience with NetSuite and group-level consolidation.
- Knowledge of transfer pricing and intercompany documentation.
- Experience coordinating cross-border VAT and corporate tax compliance.
- Startup or scale-up experience and the ability to build structure in an ambiguous environment.
- Experience managing a team of five or more, plus an interest in AI tools and finance automation.
Culture & Benefits
- Permanent employment contract.
- Hybrid work with several days from home.
- Cross-functional collaboration with Finance, Sales, Customer Success, auditors, tax authorities, and legal teams.
- Focus on ownership, transparency, continuous improvement, coaching, and professional development.
- Opportunity to help prepare the finance function and its people for AI-driven change.
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