Directeur Comptabilité et Trésorerie (H/F/N)
Core
Lead the Shared Service Center for accounting and treasury operations across 4 international entities (UK, France, US, Hong Kong), ensuring financial reliability, regulatory compliance, and cash flow management.
Role type
Senior Finance Director (Accounting & Treasury)
Builds
Consolidated financial statements, cash flow forecasts, and harmonized accounting processes for a global tech organization.
Domain
International Finance / Shared Services / Tech
Deliverable
production ML models | product features | dashboards & analysis | client delivery | infrastructure | physical/clinical work
Required skills
International accounting standards (IFRS, GAAP), multi-entity consolidation, treasury management, cash flow forecasting, internal controls, ERP systems (SAP, Oracle, Netsuite, Dynamics), stakeholder management, team leadership.
Preferred skills
Experience in tech/growth environments, M&A integration, automation of accounting processes.
Responsibilities
Supervise general, auxiliary, and analytical accounting for 4 entities; ensure data quality and regulatory compliance; manage monthly and annual closing cycles; produce financial statements and reports; oversee intercompany reconciliations; manage treasury operations and cash flow forecasts; optimize banking relationships; lead and develop the SSC accounting team.
Seniority
Senior, hands-on IC with management responsibilities