Malt
Malt34mo ago
New

Head of Cash Management

FranceFrance·ParisFR Executive/Cadreexecutive
OperationsManagement
2 views0 saves0 applied

Quick Summary

Overview

🪐 Discover our galaxy Join the Future of Work ! Malt is Europe's leading freelance marketplace, connecting over 1,000,000 talented freelancers with 100,000+ companies. Founded in 2013,

Technical Tools
OperationsManagement
🪐 Discover our galaxy
 
Join the Future of Work ! Malt is Europe's leading freelance marketplace, connecting over 1,000,000 talented freelancers with 100,000+ companies. Founded in 2013, we're transforming how work gets done through our tech-powered, human-centered platform. What makes us different:
 
- A diverse team of 600 Malters across 6 European countries
- A culture that champions equality (50% of our Comex are women) and inclusive growth
- Backed by top investors including ISAI, Serena Capital, Eurazeo Growth, Goldman Sachs, and BPI
- A mission to give everyone the freedom to work differently
 
Ready to help shape the future of work? Your next chapter starts here! 🪐

Explore your future career  🔭
 
Malt is seeking a highly skilled and strategic Head of Cash Management to structure our cash management operations across all our platforms and systems. As a vital member of our finance team reporting directly to the CFO, you will be responsible for efficiently managing the company's liquidity, optimizing cash flows and supporting growth and strategic initiatives. The ideal candidate will have a strong background in treasury operations, risk management, and financial strategy, combined with excellent leadership and communication skills.
  • Supervise all all cash operations : 
  • Oversee payment transactions on our PSP(s)
  • Manage cash operations with our factors and financial partners
  •  Improve day to day banking operations (vendor payments, bank monitoring …)
  • Optimize cash flows by improving cash cycles through MaltOversee Performance Monitoring & reportingDevelop and maintain accurate cash flow forecasts to ensure the company has sufficient liquidity to meet its operational and strategic needs
  • Manage the Cash Operations team, composed of 6+ persons2 transverse roles (1 Cash Controller + 1 Project Manager)4 operational roles (1 treasurer + 1 payment operations manager + 1 financing team + 1 credit & risk manager)
  • Regulatory Compliance and Risk Management: 
  • Maintain compliance with payment industry regulations and standardsIdentify and mitigate risks associated with all cash operationsDevelop and enforce internal controls and policies for cash management to prevent unauthorized transactions or fraud
  • Cross-Teams & Department Collaboration: 
  • Work with other departments (IT, Product, other finance teams) to ensure seamless payment operations.
  • Process Documentation, create and maintain documentation for payment processes and procedures
  • Drive innovation and strengthen our technical stack (deeper and stronger integrations, better automations …) in order to enhance efficiency, robustness, and reduce costs.
  • Banking Relationships and Financing Build and maintain strong relationships with banks and financial institutions to negotiate favorable terms for credit facilities, payment processing, and other financial services.
  • Manage and optimize group banking structures, including account setups, bank fees, and treasury services.
  • Ensure the availability of financing options, such as revolving credit lines or short-term funding, to support the company’s growth and emergency liquidity needs.
  • 10-15 years of experience in Treasury, Cash Management.
  • Strong management, leadership, collaboration, negotiation, and communication skills to align treasury goals with business priorities, guide cross-regional cash management teams, and build effective relationships with senior executives, banks, vendors, and stakeholders.
  • Technical Proficiency and Financial expertise. Familiarity with payment processing systems, financial software, and relevant technologies (e.g., ERP systems).
  • Understanding of payment methods, gateways, and high volume transaction processing.
  • Regulatory Knowledge & compliance requirements and regulations governing payment operations, such as PCI DSS and AML
  • Strategic Thinking and Business Acumen Aligning cash management strategies with the company’s growth trajectory and long-term goalsAbility to think strategically and make long-term plans.
  • Technology and Systems Proficiency. Understanding of digital solutions, automation, and data visualization tools for reporting
  • .Ability to assess and implement new technologies to improve cash visibility and operational efficiency
  • Adaptable & proactive. Flexibility to adapt to changing regulations, technologies, and market conditions in the payment sector. Initiative to identify potential challenges and opportunities before they arise.
  • First call with Claudia, our Talent Acquisition Manager, to better understand your background, aspirations and answer any questions you may have. (30-45 minutes)
  • Interview with our Chief Finance Officer, your future manager, to dive into the role and ensure it’s a match! (45-60 minutes)

  • Business case for you to complete and present in order to assess your skills for the role and presentation skills.

  • Final interview with our CEO to discuss Malt’s long-term vision.

  • Malt is the perfect space to thrive personally and professionally 💫
     
    - Onboarding: Before easing into your new role, you’ll spend your first week learning about our culture, products, and services with other new joiners at our office in Paris
    - Equity: Every Malter is entitled to stock options 
    - Malt sabbatical: Every three years, all Malters are entitled to a one month fully paid sabbatical leave
    - Free books: If you’re interested in learning more about any topic relevant to Malt’s business, just tell us the books you’d like to read, and we’ll order them for you—without any questions asked or approval processes to follow
    - Team building events organized every year
     
    Ready? Get your ticket to Malt 🪐 
     
    At Malt, we are committed to fostering an inclusive and diverse workplace. We recruit based on skills, experience, and potential, without any form of discrimination related to age, gender, sexual orientation, ethnicity, religion, or disability. Our mission is to create a work environment where everyone feels valued, respected, and safe to thrive.
     
    Your profile may be subject to background screening. For more information see our candidate privacy policy.

    Location & Eligibility

    Where is the job
    Paris, France
    Hybrid — some on-site time required
    Who can apply
    FR

    Listing Details

    Posted
    August 30, 2023
    First seen
    June 10, 2026
    Last seen
    July 9, 2026

    Posting Health

    Days active
    0
    Repost count
    0
    Trust Level
    32%
    Scored at
    June 10, 2026

    Signal breakdown

    freshnesssource trustcontent trustemployer trust
    Malt
    Malt
    lever

    Malt is a leading European freelance marketplace connecting businesses with a vast community of freelancers and independent consultants, simplifying talent acquisition and project management.

    Employees
    750
    Founded
    2013
    Domain
    malt.com
    View company profile
    Newsletter

    Stay ahead of the market

    Get the latest job openings, salary trends, and hiring insights delivered to your inbox every week.

    A
    B
    C
    D
    Join 12,000+ marketers

    No spam. Unsubscribe at any time.

    MaltHead of Cash Management