Group Treasurer at Digital Virgo
Lyon, Auvergne-Rhône-Alpes, France -
Full Time


Start Date

Immediate

Expiry Date

01 Feb, 26

Salary

85000.0

Posted On

03 Nov, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Treasury Management, Liquidity Management, Risk Management, FX Strategies, Hedging Strategies, Cash Flow Planning, Intercompany Funding, Financial Institutions, Team Leadership, Multicultural Collaboration, Funding Strategy, Capital Markets, Diplomacy, Forecasting, Governance Frameworks, Alternative Funding Methods

Industry

Financial Services

Description
Company Description Company description Digital Virgo is a global player in mobile payments, specialising in billing via telecom operators. By connecting merchants and operators, the Group facilitates simple, fast and secure digital payments that are accessible anywhere in the world. Joining Digital Virgo means becoming part of an innovative international Group, structured into local teams on a human scale, united by their complementarity and diversity. The atmosphere combines good humour, ambitious projects and a culture of initiative. ➡️ More info: digitalvirgo.com Job Description Position Overview The Group Treasurer will be responsible for defining and executing the global treasury strategy, ensuring optimal liquidity, funding, and risk management across the Group. This senior leadership role requires extensive international experience in treasury management within large, complex organizations. The Group Treasurer will work closely with the Group CFO, Corporate Officer, and regional teams to establish a robust treasury framework that supports business growth while safeguarding financial stability. Key Responsibilities: Treasury Strategy & Policy Build and maintain relationships with banks & financial institutions Establish group-wide treasury policies, procedures, and governance frameworks Lead and develop the Group Treasury team across multiple geographies FX & Hedging Develop and implement appropriate FX / hedging strategies Liquidity & Cash Management (with the support of 1 FTE) Drive global cash flow planning, forecasting, and liquidity management Optimize global cash pooling, intercompany funding, and repatriation strategies. Evaluate and roll out “new” cash management methods such as stable coins / cryptos Deployment of factoring / reverse factoring and other alternative short term funding methods Funding & Capital Markets Participate with the Group CFO the funding strategy & mix to secure a cost/ risk effective access to funds Qualifications Required profile: 5 years of higher education in accounting, management control or taxation Proven experience (minimum 7 years) in an international group in similar roles Fluency in french and english; Spanish is a plus Diplomacy, interpersonal skills and ability to collaborate with multicultural counterparts International mobility: travel is to be expected. Additional Information Contract: Permanent contract Salary: between €70,000 and €85,000, depending on profile and experience 📍 Accéder à nos locaux lyonnais 🚇 Métro : À proximité immédiate des lignes B et D, stations Place Guichard / Saxe-Gambetta. 🚲 Vélo personnel : Un stationnement vélo sécurisé est disponible au sein de nos locaux. 🚴‍♂️ Vélov’ : Une station Vélo'v est située à 1 minute à pied (voir la carte). 🚲 Bonus : on est aussi un employeur engagé Pro Vélo 💚 Process de recrutement Si votre profil retient notre attention, vous rencontrerez d’abord les RH, puis les responsables opérationnels. Chez Digital Virgo, la diversité est notre force. Rejoignez une équipe inclusive où chacun.e a sa place.
Responsibilities
The Group Treasurer will define and execute the global treasury strategy, ensuring optimal liquidity, funding, and risk management across the Group. This role involves leading the Group Treasury team and establishing a robust treasury framework to support business growth and financial stability.
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