VIE Treasury Analyst F/H
Safran Group
Informations générales Entité de rattachement Safran est un groupe international de haute technologie opérant dans les domaines de l'aéronautique (propulsion, équipements et intérieurs), de l'espace et de la défense. Sa mission : contribuer durablement à un monde plus sûr, où le transport aérien devient toujours plus respectueux de l'environnement, plus confortable et plus accessible. Implanté sur tous les continents, le Groupe emploie 110 000 collaborateurs pour un chiffre d'affaires de 31,3 milliards d'euros en 2025, et occupe, seul ou en partenariat, des positions de premier plan mondial ou européen sur ses marchés. Safran est la 2ème entreprise du secteur aéronautique et défense du classement « World's Best Companies 2025 » du magazine TIME.Safran Electronics & Defense est une entreprise internationale de plus de 19 000 collaboratrices et collaborateurs, qui mobilisent expertises et esprit de corps pour concevoir des solutions de haute technologie dans les domaines de l'aéronautique, de la défense et du spatial. En combinant intelligence humaine et technologique, l'entreprise développe des produits et services pour les acteurs du monde civil et militaires, sur terre, en mer, dans le ciel et dans l'espace.Parce que nous sommes persuadés que chaque talent compte, nous valorisons et encourageons les candidatures de personnes en situation de handicap pour nos opportunités d'emploi. Référence View phone number on click.appcast.io Description du posteIntitulé du posteVIE Treasury Analyst F/HType contratVIEDurée du contrat18 monthsStatut (CSP)Ingénieur & CadreTemps de travailTemps completParlons de votre future missionPosition OverviewThe Treasury Analyst will be responsible for the company's global treasury function, overseeing liquidity strategy, cash forecasting, and financial risk management. In a ~$400M aerospace organization, this role is both hands-on and strategic, partnering directly with the controllers and CFO to monitor the cash reporting, optimize working capital, and manage financial risks tied to global operations and government contracts.Key Responsibilities•Lead 13-week cash forecast and long-range planning•Optimize global cash positioning and working capital•Align treasury strategy with production schedules and contract cash flows•Monitor global exposure risks•Ensure SOX compliance and audit readiness•Maintain treasury controls and documentation•Own treasury systems and reporting dashboards•Drive automation and process improvements•Monthly Cash ROFO analysis with risk and opportunities•Participation in Budget and PMT in relation to cash•Working with CFO for treasury reporting •Make sure bank reconciliation are in line with SAP GLMais encore ? (avantages, spécificités, …)Qualifications•Bachelor's degree in Accounting, Finance, or related field required; CPA or MBA or Masters preferred.•Strong knowledge of GAAP and IFRS; proficiency with SAP, BPC and advanced Excel skills.•Excellent analytical, organizational, and communication skills; ability to manage multiple priorities and meet deadlines.•2–3+ years relevant experience.Parlons de vousPreferred Attributes•Experience in manufacturing, aerospace, or defense industries a plus.•Familiarity with General accounting and financial reporting for multi-entity or multi-site operations.•Demonstrated ability to streamline processes and implement best practices.Localisation du posteLocalisation du posteAmérique du Nord, Etats-Unis, California, IrvineVille Irvine Critères candidatNiveau d'études min. requisBAC+5Niveau d'expérience min. requisSupérieure à 3 ansLanguesAnglais (Courant)
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