Title: Stage - Financial Planning & Analysis Cash Flow Durata: 6 mesi Full-Time ABOUT US Sky è la tech media company che rende l’intrattenimento e la connettività un’esperienza personale, semplice e senza confini. Il nostro motto è We
Job Description: Job Title: Treasury Sales Officer Corporate Title: Director Location: Paris Company Overview At Bank of America, we are guided by a common purpose to help make financial lives better through the power of every
Rovensa Next is the Rovensa Group’s global business unit, specialising in biosolutions for agriculture. It is made up of twelve pioneering Rovensa Group companies: Agrichembio, Agro-K, Agrotecnología, Cosmocel, Idai Nature, Microquimica, MIP Agro, Oro Agri, OGT,
The IMS Division of Hutchinson is a leading player in the design and manufacturing of high value-added technical solutions for demanding industrial markets worldwide. Operating across multiple production sites in Europe, North Africa, Asia and the
Are you ready to shape the future of capital markets? We are looking for a Treasury Analyst Apprentice to join the Treasury team. The position will be based in Paris, the start date is at the
Country France City CHEMILLE Area 49 - Maine-et-Loire Workplace location CHEMILLE-RTE DE SAINT LEZIN(FRA) Employer company HUTCHINSON SA Domain Finance Type of contract Regular position Experience Minimum 6 years Activities The IMS Division of Hutchinson is
Revolution Medicines is a late-stage clinical oncology company developing novel targeted therapies for patients with RAS-addicted cancers. The company’s R&D pipeline comprises RAS(ON) inhibitors designed to suppress diverse oncogenic variants of RAS proteins. The company’s RAS(ON)
Rattaché(e) au Directeur FP&A au sein de la Direction du Contrôle de Gestion, le Head of FP&A pilote l’ensemble des activités FP&A centrales et joue un rôle clé dans la transformation de la fonction Finance. Il
Reporting to the Northern Europe CFO, the FP&A Lead is a key strategic business partner to the Northern Europe CEO and CFO. The role is responsible for driving financial performance, supporting strategic decision-making, and coordinating the
At Joko, our mission is to we help consumers save time and money when shopping online or in-store. Founded in Paris, Joko is a tech company and certified B Corp with over 105 talents across Paris,
CEVA Logistics provides global supply chain solutions to connect people, products, and providers all around the world. Present in 170+ countries and with more than 110,000 employees spread over 1,500 sites, we are proud to be
Vestiaire Collective is the leading global platform for desirable pre-loved fashion and a pioneer in transforming how people consume fashion. Our mission is simple: make circular fashion the norm, not the exception. Through technology, expertise, and
6 MONTHS - Fixed terms contrat GENERAL DESCRIPTION To support our project and growth in France, we are looking for a motivated Financial Planning & Analyst Officer. You will join the team to manage the projects
PALMER est bien plus qu’un simple cabinet de conseil en management et organisation. Nous sommes des partenaires de confiance pour les directions générales et opérationnelles, guidant nos clients à travers les défis complexes de leur transformation.
Eni Plenitude in Paris, France, is seeking a Treasury Specialist for permanent, on-site duties. Proficiency in French and English required. You will oversee cash receipts/payments, cash flow forecasting, and banking relationships across a multinational framework. The role emphasizes strong analytical
Eni Plenitude France is seeking a skilled Treasury Specialist to strengthen our cash and funding activities in Paris. You will manage cash receivables and payments, monitor liquidity, and support forecasting and controls within a multinational energy group. Youll work
Eni Plenitude France (Paris) seeks a Treasury Specialist to join its team on a permanent, on-site basis. The role emphasizes cash management, forecasting, and banking relationships within a multinational energy company. You will monitor cash flows, KPIs, and financing activities
Wakam is seeking a Reinsurance Cash Manager to secure and optimise reinsurance cash flows, provide clear financial visibility, and act as a trusted interface between reinsurers, Treasury, and internal teams. You will manage day-to-day cash operations, coordinate cash forecasting, and support process
About Malt Malt is Europe’s leading freelance marketplace, connecting more than 850,000 freelancers with 90,000+ companies. Founded in 2013, the platform transforms how work is done through technology and human‑centred design. The company has a diverse
You will join Wakam’s Finance ecosystem, working closely with Reinsurance and Treasury . This role sits at the crossroads of FP&A and Accounting , with a strong operational dimension (cash tracking, settlements) and a strategic one (performance