About this role
Group Treasury Partner at Polène Paris. Location: Paris, Ile-de-France, France. Role: forecasting cash, managing treasury, optimizing liquidity Requirements: Build and develop group treasury: cash forecasting, cash management, cash pooling, multi-currency flow management, TMS Kyriba and SAP administration; master's in finance and 5+ years' experience preferred. Category: Finance and Accounting Seniority: Senior Level Tools: Kyriba, SAP Commitment: Full Time Workplace: Onsite Languages: English, French