Mirakl is seeking a Cash Manager to join our team in Paris office (3 days onsite minimum). As a Cash Manager, you will be deeply involved in designing, implementing, and monitoring effective cash reporting and treasury activities.
Requirements
- Master's degree from a business school, engineering school, or University
- 5 years experience in cash flow monitoring and treasury
- Good understanding of treasury concepts, cash/liquidity management, payment management process and FX monitoring
- Strong verbal and written communication abilities across all levels of an organization
- Fluency in French and English