Chez Eneria, nous mettons notre expertise au service de nos clients en proposant des solutions énergétiques performantes et durables. Filiale du Groupe Monnoyeur et partenaire exclusif de Caterpillar en France, nous accompagnons nos clients grâce à des solutions innovantes et à l'engagement de nos collaborateurs.
JOB PURPOSE
On the basis of activities assigned by his/her superiors, the treasurer manages cash flow and optimizes the financial profitability of his/her area.
He/she ensures that financial risks are properly managed.
He/she is responsible for balancingand proper use of bank accounts.
He/she is a privileged contact for funding organizations.SIGNIFICANT ACTIVITIES
Treasury
- Record and analyze financial flows (disbursements and receipts) and analyze discrepancies, if any
- Manage bank guarantees, where applicable
- Manage bank authorizations and signatures
- Manage foreign exchange hedging, where appropriate
- Apply and monitor financing strategies defined by the finance department to meet the company's needs
- Define, in collaboration with his/her superiors, and produce indicators for monitoring his/her activity, and alert, if necessary
- Prepare and transmit treasury-related financial reports to internal and external stakeholders
- Contribute to the continuous improvement of its activity (business tools, procedures, etc.)
Internal and external relations
- Be a privileged contact with internal and external stakeholders (funding bodies, auditors, finance department, etc.)
- Manage relations with funding body(ies), where applicable
Financial risks
- Identify and manage financial risks (exchange rate fluctuations, interest rates, etc.)
- Ensure compliance with deadlines and execution of requested disbursements
- Ensure compliance with internal and external compliance rules within its scope, and alert where necessary
RESPONSIBILITIES AND SCOPE FOR ACTION
- Guarantee and monitor cash management compliance
- Guarantee financial risk management
- Ensure the quality of data entered into business tools
- Know, apply and enforce internal and external financial, tax and compliance procedures and rules
PROFESSIONAL KNOWLEDGE
DIPLOMA(S) AND/OR EXPERIENCE(S)
3 to 5 years' higher education in finance and/or significant experience preferred
SPECIFIC KNOWLEDGE(S)
Technical skill(s)
- General knowledge of finance (treasury, accounting, etc.)
- General knowledge of IT tools and information systems
- Intermediate level in English (B2)
Behavioral skill(s)
- Rigor
- Analytical skills
- Synthesis skills
- Responsiveness
- Discretion

Monnoyeur, a family-owned company founded in 1906, provides its customers in the construction, industry and agriculture sectors with high-performance machines and solutions - through the Bergerat Monnoyeur, Aprolis and IPSO distribution networks. Monnoyeur also assists its customers in meeting their energy transition and digitalization challenges through its dedicated subsidiaries Eneria and ARKANCE. The company also offers specialised services through CHRONO Flex and GCS. SITECH, a subsidiary specialising in positioning and guidance technologies for the construction sector, offers innovative solutions to optimise construction sites. The group has a turnover of €3.4 billion in 2024, operates in 24 countries on 5 continents and employees over 9,000 people.
For more information, visit monnoyeur.com