Global Treasury Head - Marseille, France - Ceva Logistics

Ceva Logistics
Ceva Logistics
Entreprise vérifiée
Marseille, France

il y a 3 semaines

Sophie Dupont

Posté par:

Sophie Dupont

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Description
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 1,300 sites, we are well on our way to achieving our vision:
to be a Top 5 global 3PL.

We believe that our employees are the key to our success.

We want to engage and empower our diverse, global team to co-create value with our customers through our solutions in contract logistics and air, ocean, ground, and finished vehicle transport.

That is why CEVA Logistics offers a dynamic and exceptional work environment that fosters personal growth, innovation, and continuous improvement.


DARE TO GROW Join CEVA Logistics, and you will be part of a team that values imagination, encourages boldness and exemplarity, and is committed to excellence in everything we do.

Join us in our mission to shape the future of global logistics as we become a global leader in the logistics industry.

As we continue growing at a fast pace, will you "Dare to Grow" with us?


YOUR ROLE


You will play a leading role within our treasury team, act as a solution-maker, change manager and ambassador for Cash & Liquidity within CEVA Logistics.

WHAT ARE YOU GOING TO DO?

  • Manage an international team of central and regional cash managers including sign off daily cash management, short term forecast and cash reporting
  • Monitor and ensure smooth execution on all Treasury payments
  • Closely monitor cash pool balancing and shortterm liquidity needs
  • Advise on best internal lending structure (short, medium, longterm loans)
  • Be responsible for the global intercompany funding framework: review and execution of Inter Company lending/borrowing schemes:
  • Inter Company Loan
  • TMA documentation
  • Oversee Bank Guarantee process
  • Manage, review and execute of banking documentation
  • Advise and enforce Local Cash repatriation campaigns,
  • Oversees In House Bank and Netting, Lead Treasury initiatives with regional and other stakeholders
  • In coordination with Group, handle cash management bank relationship, bank RfP and fees review
  • Adhoc treasury strategic support on project and Support on M&A deal and integration
WHAT ARE WE LOOKING FOR?

  • Master's degree in finance
  • Solid treasury career (10years+) gained in a fast pace international environment
  • Strong leadership and management experience
  • IT literacy (MS Office & Treasury Management Systems)
  • French AND English fluency
  • Very good communication skills
  • Strong financial modelling skills in creating forecasts and variance analysis from a variety of sources
  • Ability to work in a fast and demanding environment.
  • Very hands on and cando attitude


As a global organization, and as part of the CMA CGM Group, diversity is critical to our business success; only when we can reflect the cultures, languages, behaviors and local knowledge of our customers, we can succeed.

By employing people with different experiences and abilities, we expand our knowledge and increase our creativity and innovation.

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