
Cash Controlling Manager
- Paris
- CDI
- Temps-plein
- Ensure balance sheet accruals are accurate and aligned with P&L costs.
- Provide clear, actionable insights on investment levels, including risks of over or under-accruals.
- Approve, validate, and reconcile customer invoices against the correct accruals.
- Validate proofs of performance and flag incorrect invoices and deductions for recovery.
- Ensure customer agreements are accurately reflected in our systems and pricing is correctly applied.
- Analyze pricing disputes, implement controls, and improve billing accuracy.
- Reduce overdue invoices and AR balances through proactive initiatives.
- Ensure appropriate bad debt provisions are in place.
- Act as the key point of contact for GBS (approx. 4 FTE) teams handling disputes, collections, pricing, and cash application.
- Drive performance improvements and efficiency initiatives across these areas.
- Master’s degree in Finance, Accounting, or a related field.
- 6+ years of experience in a Finance role, preferably with commercial or operational exposure.
- People management experience is a strong plus.
- Advanced Excel skills; comfortable with Microsoft Office Suite.
- ERP knowledge (e.g., SAP) preferred.
- Fluent in French and proficient in English.
- A high-impact role with real ownership and visibility.
- A fast-track career path in a global company that invests in talent.
- A permanent contract with a competitive salary and bonus (above market).
- A culture that welcomes great ideas: if you have one, we will help you make it happen.