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Head of Treasury

📍 France

Finance et Assurance QIMA

Description du Poste

At QIMA, we exist to help our clients make products they can trust. Operating in over 100 countries, QIMA serves the consumer products,foodand life sciences sectors, supporting more than 30,000 brands, retailers,manufacturersand growers worldwide. We combine deeponthegroundexpertisewith digital platforms that bring accuracy, transparency and intelligence to quality and compliance data.

As QIMA continues to scale globally and integrate acquisitions at pace, disciplined treasury management is critical to liquidity, riskmanagementand capital efficiency.

Job Description This is not a transactional treasury role.

The Head of Treasury, reporting to the Group CFO, is a senior Group finance leadership role responsible for owning QIMA’s global treasury strategy, liquidity management and financial risk framework across a highly international, multicurrency and acquisitive organisation.

The role balances nonnegotiable financial discipline and risk control with the need to enable growth, acquisitions and operational flexibility, while overseeing execution through Global Shared Services and banking partners.

The Head of Treasury is accountable for the stability, resilience and efficiency of QIMA’s global cash, funding and financial risk position.

This role ensures that cash, liquidity, banking structures, FX exposure and funding arrangements are actively managed at Group level, while enabling local execution at scale through standardised processes, controls and governance.

1. Group Liquidity & Cash Management

Own Group cash visibility, liquidity forecasting and funding adequacy across all jurisdictions.

Ensure sufficient liquidity to support operations, investments and acquisitions.

Define and enforce Group cash pooling, intercompany funding and repatriation strategies.

2. Financial Risk Management Own the Group’s financial risk framework, including:

FX exposure and hedging strategy

Counterparty and banking risk

Define risk appetite and hedging principles aligned with Group strategy and Board expectations.

3. Banking, Funding & Capital Structure

Own Group banking relationships and global bank strategy.

Lead negotiations on credit facilities, guarantees, bonding and other treasury instruments.

Support capital structure decisions, including acquisition financing and refinancing activities.

4. Treasury Operations & Governance

Retain end to end accountability for treasury outcomes, with execution delivered through Global Shared Services and external partners.

Ensure robust treasury controls, policies and audit readiness.

Standardise treasury processes, tools and data across the Group.

5. M&A & Structural Change Support Own treasury input into M&A transactions, including:

Funding structures

Cash, debt and working capital considerations

Post deal liquidity and banking integration

Ensure acquisitions are integrated into Group treasury structures rapidly and compliantly.

Qualifications It could be you if you have:

Senior treasury leadership experience in complex, international organisations.

Experience supporting M&A, growth and transformation agendas.

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Détails du Poste

Date de Publication: February 27, 2026
Type de Poste: Finance et Assurance
Lieu: France
Company: QIMA

Ready to Apply?

Don't miss this opportunity! Apply now and join our team.