We are delighted to be exclusively partnered with an International shipping & logistics group in their search for a Senior Treasury Analyst to be based in their Marseille office.
Integrated in the Treasury department of the Group’s Finance Department, this individual will be involved in all the groups worldwide operations and projects of the service.
Key areas of focus for this role will include: Group liquidity, treasury cash management, FX risk management, management of internal & outsourced cash pooling, bank relationships & bank guarantees.
This individual will have at least 5+ years experience which has allowed them to prove their autonomy and ability to hold a management position.
You will be fluent in English and French and will have experience in working with at least one treasury management system. An experience in business intelligence/digitalism would be appreciated. Your sense of analysis, your adaptability and your organisational skills will enable you to succeed in this role.
Attractive salary + benefits & relocation
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