Senior Back Office & Cash Management Analyst
Context & purpose
Within Treasury & Corporate Finance and reporting to the Director of Back Office & Cash Management, you will join a team at the heart of the Group's daily financial operations: global liquidity management, reliable banking flows, and flawless execution of treasury transactions across a broad international perimeter.
You will drive operational excellence, process reliability and high-impact projects in a fast-paced, global environment.
Reporting line
Director Back Office & Cash Management - Treasury & Corporate Finance organization.
Your role
Supervise Back Office/Cash Management operations, foster team autonomy, ensure operational discipline and lead digitalization and continuous-improvement initiatives.
Your missions
1) Operational supervision & coordination
* Oversee day-to-day activities and ensure continuity during peaks/absences
* Act as the process/priority/technical go-to; support team capability building
* Ensure rigorous internal controls and cut-off adherence
2) Internal stakeholders & external partners
* Partner with Market Risk, Financing, Tax, Legal to secure end-to-end execution
* Act as key contact for regional treasurers; share best practices and Group standards
* Engage daily with banks; coordinate with IT/vendors on incidents and enhancements
3) Treasury back-office operations
* Monitor/validate cash pooling, intercompany loans, FX operations and short-term placements
* Review confirmations, investigate discrepancies and ensure compliance
4) Cash management & reporting
* Contribute to daily liquidity management and cash optimization actions
* Coordinate reporting streams (positions, pool balances, intercompany settlements); support month-end close and reconciliations
5) Projects, digitalization & continuous improvement
* Lead projects on automation/ISO 20022, dashboards, RPA/AI, account rationalization
* Enhance processes/controls; contribute to compliance initiatives (payment security, sanctions, PSD3/Verification of Payee)
Your profile
* Master's degree in Finance, Economics, Business, Engineering, or equivalent.
* 5-8 years in Back Office or Cash Management, preferably in a multinational central treasury or banking
* Proven operational coordination/process supervision and cross-functional project management
* Strong knowledge of treasury operations and banking flows; payments, bank connectivity, cash pooling
* Internal controls, compliance and data reliability
* SWIFT / ISO 20022 knowledge a plus; TMS/Payment Factory (FIS, Coupa Treasury, Kyriba, Diapason); Advanced Excel (VBA a plus)
* Fluent English; professional French
Soft skills
* Ownership and accountability; effective interpersonal communication in an international context
* Ability to explain Cash topics clearly; leadership, autonomy and prioritization
* Proactive, solution-oriented; constructively challenge processes
Workin...
- Rate: Not Specified
- Location: RUEIL MALMAISON, FR-92
- Type: Permanent
- Industry: Finance
- Recruiter: Schneider Electric
- Contact: Not Specified
- Email: to view click here
- Reference: 112524-en-us
- Posted: 2026-03-27 07:44:19 -
- View all Jobs from Schneider Electric
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