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INDIGO Group

INDIGO Group

www.group-indigo.com

1 Job

8,386 Employees

About the Company

INDIGO is the world leader in parking and individual mobility, serving the metropolitan areas and smart cities of tomorrow. Present on two continents, INDIGO is a global player with local roots. INDIGO brings together several businesses: off-street parking, on-street parking, individual mobility, digital solutions and urban services. Indigo is present in 9 countries and is a leader in its field worldwide, developing tailored solutions and targeting all market segments.
Finally, what is the strength of Indigo is the proximity we have with local territories.

INDIGO est le leader mondial du stationnement et de la mobilite individuelle, au service des metropoles et smart cities de demain. Present sur deux continents, INDIGO est un acteur global a l'ancrage local. INDIGO rassemble plusieurs metiers : les parcs en ouvrage, la voirie, la mobilite individuelle, les solutions digitales et les services a la ville. Le Groupe est present dans 9 pays et leader de son secteur a travers le monde, en developpant des solutions sur mesure, sur tous les segments de marche.
Enfin, ce qui fait la force d'Indigo, c'est la proximite que nous avons avec les territoires.

Listed Jobs

Company background Company brand
Company Name
INDIGO Group
Job Title
TRESORIER(ERE) INTERNATIONAL JUNIOR H/F
Job Description
**Job Title:** International Junior Treasury Manager (M/F) **Role Summary:** Assist the Treasury & Middle Office Director in managing treasury activities across France and internationally within a large, dynamic group. Establish foundational treasury expertise, contribute to cash management, financial reporting, financing, project management, and TMS implementation. **Expectations:** - Deliver accurate cash‑flow analysis and Treasury Management System (TMS) operations for domestic and global scopes. - Produce financial and operational reports, supporting decision‑making at group level. - Engage in financing activities and project initiatives related to treasury processes. - Achieve proficiency in TMS usage, advanced Excel, and PowerPoint; familiarity with Access/VBA is advantageous. - Operate professionally in English (reading, speaking, writing). - Demonstrate methodological rigor, analytical synthesis, and strong interpersonal skills. **Key Responsibilities:** - Execute cash‑management duties for France and international portfolios. - Compile and analyze financial data, creating concise reports for senior management. - Manage financing arrangements and support related documentation. - Participate in the transition to a new TMS, contributing to project planning and execution. - Maintain accurate treasury databases and contribute to system upgrades. - Collaborate with cross‑functional teams to ensure treasury alignment with business objectives. **Required Skills:** - Strong proficiency in a commercial treasury management system (TMS). - Advanced Excel (functions, pivot tables, macros) and PowerPoint skills. - Basic knowledge of Microsoft Access and/or VBA (preferable). - Professional English communication (read, write, speak). - Methodical approach, detail orientation, and rigorous monitoring of tasks. - Analytical and synthesis capabilities with the ability to interpret financial figures. - Excellent teamwork and communication abilities. **Required Education & Certifications:** - Bachelor’s or Master’s degree in Treasury, Corporate Finance, Finance, or a related business discipline (e.g., Master in Corporate Treasury). - Recent graduate (post‑study) or equivalent; internship or apprenticeship experience in treasury considered an advantage.
Puteaux, France
Hybrid
Junior
01-12-2025