TREASURY PROJECT MANAGER

Posted 5 Days Ago
Be an Early Applicant
Issy-les-Moulineaux, Hauts-de-Seine, Île-de-France, FRA
In-Office
Expert/Leader
Consumer Web
The Role
Manage corporate treasury middle-office activities, including financial risk analysis, FX and interest-rate monitoring, cash forecasting, float optimization, policy compliance, treasury reporting, and management insights. Coordinate with country finance teams and internal stakeholders, support audits, improve treasury processes and systems, and lead or coordinate analysts. The role requires advanced financial analysis, forecasting, reporting, and treasury risk-management expertise across multiple geographies.
Summary Generated by Built In

At Pluxee, we shape the world of employee benefits and engagement by bringing to life a personalized and sustainable employee experience, at work and beyond.

Permanent Regular

Job Description:

The Middle Office Manager in Corporate Treasury plays a critical role in analyzing and managing financial risks related to investments, foreign exchange (FX), and interest rates. The position ensures compliance with Pluxee group-wide treasury policies (Golden Rules) and is responsible for developing and managing comprehensive treasury reports for senior management. The role also serves as the primary point of contact with local subsidiaries or countries, ensuring alignment and effective communication across regions.

YOUR NEXT CHALLENGE
Responsibilities:
Treasury Risk Management Analysis
Conduct detailed analysis of financial risks, including investments, foreign exchange exposure, counterparty risk, liquidity risk, and interest rate fluctuations.
Provide insights and recommendations to mitigate risks in line with Group risk appetite and treasury policies validated by governance bodies.
Monitor market trends and assess their potential impact on liquidity, investment returns, financing costs, and overall financial performance.
Track the effectiveness of risk mitigation strategies and recommend adjustments where needed.
Ensure that risk monitoring is supported by reliable data, clear methodologies, and appropriate escalation processes.
Mid-Term Cash Forecasting and Planning
Develop and maintain mid-term cash forecasts to support financial planning, liquidity management, and strategic decision-making.
Manage the cash forecasting process during budget preparation, periodic reforecast cycles, and treasury planning reviews.
Collaborate with FP&A, local finance teams, Cash Management, Front Office, Controlling, and other stakeholders to improve forecast accuracy.
Conduct variance analysis between actual and forecasted treasury metrics, highlighting deviations and recommending corrective actions.
Use forecast outputs to support funding decisions, investment planning, liquidity buffers, and working capital optimization.
Float and Float Revenue Management
Analyze and challenge float positions, uninvested cash, idle balances, and excess cash across the organization.
Identify opportunities to optimize float utilization and maximize float revenue within approved risk and liquidity guidelines.
Report on float performance, revenue trends, inefficiencies, country-level differences, and improvement opportunities.
Coordinate with local teams and Cash Management to improve visibility and reduce avoidable idle cash.
Provide actionable recommendations to strengthen cash efficiency and treasury value creation.
Treasury Policy Compliance and Internal Control
Ensure full adherence to Pluxee’s Golden Rules, Group treasury policies, internal controls, and approved risk limits.
Provide regular compliance updates to management and propose improvements to treasury control processes.
Collaborate with internal and external auditors to meet treasury-related compliance requirements and documentation expectations.
Monitor policy adherence by subsidiaries, identify exceptions, and coordinate remediation actions.
Ensure proper evidence, audit trails, reporting documentation, and control records are maintained across treasury middle office activities.
Treasury Reporting and Management Insight
Build and maintain detailed treasury reports covering debt profiles, maturity schedules, investment performance, financial results, liquidity impact, free cash flow analysis, forecasts, float, and excess cash positions.
Prepare dashboards, presentations, and decision-support materials for senior management and treasury governance forums.
Monitor and report treasury performance indicators, providing clear and actionable insights.
Ensure that reporting is timely, accurate, consistent, and useful for decision-making.
Lead or coordinate middle office analysts where applicable, ensuring quality of analysis, timely reporting, and strong process discipline.
Country Coordination and Treasury Process Improvement
Act as liaison with country finance teams to ensure alignment with Group treasury strategies, policies, reporting expectations, and forecasting requirements.
Assist local subsidiaries in implementing treasury solutions and managing regional or local treasury risks.
Facilitate consistent communication between Group Treasury and subsidiaries to address challenges, share opportunities, and improve treasury practices.
Identify and drive enhancements to treasury processes, tools, systems, reporting routines, and data collection methods.
Participate in the implementation of new cash forecasting tools or updates to existing treasury platforms.
YOU ARE A MATCH IF...
Education:
Master in Finance
Work Experience:
10 years minimum of experience in Treasury or Corporate Finance
Skills & Certifications:
Strong analytical skills with experience in financial modeling and reporting.
Proficient with cash forecast tools and advanced Microsoft Excel.
Solid understanding of FX markets, investment strategies, and interest rate risk management.
Familiarity with treasury compliance frameworks and corporate treasury best practices.
Excellent interpersonal and communication skills for collaboration across departments and geographies
Languages:
English required; additional languages a plus
Working Conditions:
Office setting; occasional travel to regional offices or training
Languages:
Fluent in English and French
Working Conditions:
Hybrid model
Competencies:
Risk Management & Market Monitoring
Cash Forecasting & Float Management
Treasury Reporting & Financial Analysis
Treasury Compliance & Policy Alignment
Treasury Systems & Tool Optimization


Why join Pluxee?


Join an inclusive team

Work at the heart of the community alongside 5,000 experts across 29 countries - we embrace diversity and value uniqueness, fostering a workplace where everyone can thrive.

Turn inspiration into possibility

Get space to try new ideas, experiment and move the world of work forward as you bring new digital experiences - and moments of connection - to millions of people.

Make a positive impact

Touch millions of lives and create meaningful change for people and the world we share, supporting our commitments to diversity, sustainability, and local economies.

Grow with us

Get support you need to take meaningful steps in your career, whether you're performing your work/life balance or learning new skills.

Skills Required

  • Master's degree in Finance
  • Minimum 10 years of experience in Treasury or Corporate Finance
  • Strong analytical skills
  • Experience with financial modeling and reporting
  • Proficiency with cash forecasting tools
  • Advanced Microsoft Excel skills
  • Understanding of FX markets, investment strategies, and interest-rate risk management
  • Familiarity with treasury compliance frameworks and corporate treasury best practices
  • Excellent interpersonal and communication skills across departments and geographies
  • Fluent English and French
  • Additional languages
Am I A Good Fit?
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The Company
HQ: Fort Worth, TX
5,636 Employees

What We Do

The leading global employee benefits and engagement partner that opens up a world of opportunities to help people enjoy more of what really matters We believe that living life to the full means making the most of every moment and sharing experiences with the people we care about. To make these experiences meaningful, fulfilling, and personalised, we combine our 45+ years of experience with the agility and energy of a new digital brand. The result is an exciting mix of 250+ products that give employees more freedom in the choices they make every day across 31 countries – from restaurant meals to culture, incentives, and gift vouchers. Are you looking to shape the future of employee benefits and engagement? Get in touch directly with our teams at: [email protected]

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