Paris, Île-de-France, France
Finance professional with experience in Treasury, Financial Controlling and Finance Transformation within an international listed group. I have developed solid expertise in liquidity management, working capital monitoring, budgeting and forecasting processes, supporting both operational and group-level finance activities. My experience includes exposure to cross-functional environments (Finance, IT, and external partners) through transformation and PMO initiatives, with a focus on process optimization, reporting quality, and financial data accuracy. I am particularly interested in corporate controlling and financial planning environments, where analytical skills and business understanding are key to support performance monitoring and decision-making.
• Support finance PMO and controlling activities for O2C and Treasury transformation projects • Prepare reporting (KPIs, budget, milestones) supporting decision-making • Coordinate Finance, IT and external stakeholders • Support treasury operations (cash monitoring, reconciliations, payment controls) • Contribute to process improvements and automation initiatives
• Support budgeting, forecasting and closing processes • Manage factoring portfolio (€15–20M) across multiple countries • Monitor FX exposure and support hedging activities • Perform treasury reporting and bank reconciliations
• Led implementation of treasury system (Piteco), automating reconciliation processes • Reduced manual entries from 3,000 to 100/month, significantly improving efficiency • Managed cash operations, liquidity monitoring, and payment controls • Supported process standardization and cross-functional coordination