This position involves working regularly together with the Treasury team in Paris, principally with the Middle Office Treasurer and Treasury - VP Group in Paris. In collaboration with various internal departments across the organization, including but not limited to the consolidation team, accounting team, legal team, and operational teams from different Business Areas worldwide.
What We Offer
Competitive compensation package
Hybrid work model
A dynamic, multicultural team with opportunities for personal and professional growth
Access to continuous learning and development programs
Health insurance and other benefits tailored to your needs
Recognition as part of a Great Place to Work company culture
The chance to work in a global environment, collaborating with colleagues from across Europe and beyond
Your Responsibilities
As part of the job, you will report to the Middle-Office Treasurer. You will primarily support the daily operations of the treasury team and actively participate in financial communication, particularly in the production of internal and external reports.
Collaborating with the Middle-Office Treasurer, you will assist in producing existing service reports and developing new reporting tools.:
Risk management (Foreign Exchange (FX), Commodities, and Interest Rate) reporting
Reporting on OCI/P&L variations for cash-flow hedge operations
Check that market operations mandate during COMCET (the interest rate, exchange rate and energy committee) are performed by Front-Office
Reporting on Mark-to-Market (MtM) valuations and Nominal values for Foreign Exchange (FX), Commodities, and Interest Rate exposures
Monitor and analyze the impact of foreign exchange (FX) fluctuations on the company's financial results
Contribute to the analysis of mutual funds for potential short-term investments
Monitor and analyze KPIs, suggest areas for improvement
Audit & Procedure
Contribute to improve treasury procedures
Collaborate in the development and compilation of comprehensive materials for the Audit Committee report
Financing
Coordinate and develop materials for strategic internal financing meetings such as Credit Committee
Control subsidiaries’ credit allowance with Imerys SA
Cash Management
Conduct comprehensive monthly assessments of Imery's group's liquidity position and cash flow trends
Monitor Imerys’ liquidity contract
Compliance
Declare daily operations performed by Front-Office
Monitor the integration of real-time market data into treasury management systems.
Treasury Projects
Participate in treasury team's risk management software upgrade, with a focus on enhancing capabilities for foreign exchange, interest rate, and commodities risk assessment
You will occasionally participate in digitalization and efficiency projects (Serrala, ARPSON, Quantum, Google, etc.)
Qualifications
Essential
Master's degree in Economics, Accounting, Finance, Engineering, or a related field, minimum of 2 years of relevant professional experience
Strong IT background (Excel (VBA))
Fluent in English, other languages such as French is plus
Rigorous, dynamic and naturally curious, you have a real desire to learn.
Good financial knowledge, ease with figures, synthetic and analytical mind
Good organizational, multi-tasking and time management skills
Desirable
IT background (SQL, Javascript, Python)
Having worked in an international Treasury department would be a key asset
Good knowledge of Accounting principles (IFRS and Local GAAP with particular reference on IFRS9) and Corporate Finance, desirable
Why Join Imerys?
At Imerys, we believe in fostering a work environment where employees can thrive. By joining our team, you’ll have the opportunity to work in a supportive, innovative, and collaborative environment. We are committed to providing our employees with the tools and resources needed to succeed and grow in their careers.
Position TypeFull timeand
PermanentOnly technical issues will be monitored through the below inbox:
recruiting.support@ imerys.com
PLEASE DO NOT SUBMIT RESUMES OR APPLICATIONS TO THIS EMAIL, AS THEY WILL NOT BE REVIEWED.
To ensure fairness and legal compliance in our recruitment processes, only applications received through the online application process will be considered.
Similar Jobs
What We Do
We are a world leader in mineral-based specialties, offering high value-added solutions to many different industries, ranging from process manufacturing to consumer goods. Our value-added solutions are formulated to meet the technical specifications of each customer and contribute to the performance of a multitude of products in three categories: 1. Functional additives - added to the mineral formulation of customers’ products. 2. Mineral components - essential constituents in the formulation of customers’ products. 3. Process enablers - used in customers’ manufacturing processes, but not present in the end product. These serve many industries such as construction materials, mobile energy, steelmaking, agri-food, automotive, and cosmetics.









