Analyst Cash Management - Paris, France - Thomas Mazieres
Description
Description de la mission
The Analyst will be involved in every aspect of Redbridge advisory business : the review, analysis and implementation of recommended strategies accross all our expertise in addition to helping provide ongoing active advice.
You will on average get to work on 3-4 engagements for both domestic and international Redbridge clients, across diverse sectors and several areas of expertise.
Main expertise:
Payments and Collections, Merchant Cards, Cash Pooling, The analyst will also work on Treasury organization and systems, liquidity and Debt advisory projects.
Among the global « Payment and cash management team », you actively participate to the international development of the team and to our engagements on our three expertise:Cash management banking fees optimization (bank relationships analysis and negotiation with providers, cash management fee optimization, rationalization of the banking partner number, etc.)
Card collection (Innovation and acceptance strategy for the new means of payments, review of the card architecture, implementation of new services, etc.)
Cash Pooling (Current centralization system analysis, recommendation on target structure, negotiation with providers, liquidity management optimization, etc.)
Project includes
Analysis of the banking and provider relationships and architecture
Negotiation with banks and providers
Optimization and recommendation of cash management relationships, structure, and services
Innovation and acceptance strategy for means of payment
Implementation of value-added services and innovative solutions
Responsabilities
Contribute to the critical audit and analysis of our clients' current organization, process flows, bank, acquirers and other providers relationships related to cash management.
Participate in interviews with key personnel at the client's site to gain an in-depth understanding of its internal organization.
Perform the necessary numerical analyses to assess the stakes and challenges of engagements.
Construct engagement deliverables, research reports and other materials needed for projects.
Direct contact with our clients, banks, and various service providers.
Participate in all phases of the project and in meetings with the client.
Participate in conducting studies and marketing materials
Research emerging banking trends and best practices in all of our fields of expertise
Profil recherché
Master's degree or equivalent, a specialization in corporate finance or treasury would be a plus,
Experience (including internships) in a Financial department, in a financial audit/advisory company, or in a bank
Fluent in English and proficient in French
High level of organization:
excellent prioritization skills, project management skills, and time management skills
Strong written and verbal communication skills for writing reports, client presentations, client relationship management.
Knowledge of the main Office tools (Power Point,Excel).
Points incontournables
- Fluent in English (C1)
- Strong Microsoft Office knowledge
- Knowledge of treasury ( Cash management and Banking activity )
- Strong written and verbal communication skills for writing reports, client presentations, client relationship management
Type d'emploi :
Temps plein, CDI
Salaire : 42 000,00€ à 43 000,00€ par an
Programmation:
- Travail en journée
Formation:
- Bac +4 (Maîtrise) (Optionnel)
Expérience:
- Cash management and Banking activity: 2 ans (Optionnel)
- Microsoft Office knowledge: 3 ans (Optionnel)
Langue:
- Anglais (C1) (Optionnel)
Lieu du poste :
En présentiel
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