We are delighted to be exclusively partnered with an International logistics company in their search for a Cash Manager to be based in their Marseille office.
Reporting to the Head of Cash Management, this individual will support the company’s worldwide operational business.
Key areas of focus for this role will include cash management, FX risk management, intercompany settlements, intercompany loan administration, treasury reporting, treasury management systems, banking arrangements and ad-hoc support to their subsidiaries on treasury matters.
They are looking for a highly motivated and ambitious individual looking for a new challenge. You will have experience of working within a complex international treasury operations team and have gained expertise across cash flow forecasting, daily cash positioning and bank account administration.
You will have a strong interest in process improvement as well as excellent communication and collaboration skills. Fluency in verbal and written English is essential for this role.