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Cash & FX Manager F/M

Cash & FX Manager F/M

Cash & FX Manager – Nestlé Waters & Premium Beverages

 

  • Nestlé Waters & Premium Beverages (NW&PB)
  • Location: Issy-les-Moulineaux (close to Paris)
  • Contract: Full-time, permanent contract
  • Languages: Fluent English required; French is a plus

 

Position Summary

 

As Global Cash & FX Manager, you will lead the Group's global cash management and foreign exchange activities, ensuring optimal liquidity visibility, effective FX risk mitigation, robust treasury governance, and efficient banking structures across NW&PB entities worldwide.

You will act as a key treasury business partner, supporting Finance, Tax, Accounting and Business teams while driving treasury optimization, payment security, banking efficiency and treasury transformation initiatives. This role reports to the Head of Treasury who is based in Paris.

 

 

What are the responsibilities ?

 

  • Lead global cash management activities, ensuring liquidity visibility and availability across all NW&PB entities.
  • Design and manage cash pooling, cash concentration and intercompany funding structures to optimize working capital and reduce financing costs.
  • Identify, assess and manage foreign exchange exposures and execute appropriate hedging strategies in line with Group policies.
  • Execute FX transactions while ensuring compliance with treasury policies, risk management principles and market best practices.
  • Manage relationships with global banking partners and support the optimization of banking services, structures and costs.
  • Oversee global payment processes and payment security controls to ensure operational efficiency, compliance and fraud prevention.
  • Partner closely with Finance, Accounting, Tax and Business teams to provide treasury expertise and support strategic initiatives.
  • Prepare treasury analyses, dashboards and management reporting related to liquidity, FX exposures, hedge performance and banking activities.
  • Lead treasury transformation initiatives, including treasury systems, automation and banking connectivity projects.
  • Ensure compliance with treasury policies, internal controls, regulatory requirements and audit expectations across all jurisdictions.
  • Support M&A transactions, reorganizations and other strategic projects from a treasury and funding perspective.
  • Drive continuous improvement initiatives to enhance treasury efficiency, governance and operational effectiveness.

 

What will make you successful?

 

  • 8 to 10 years of experience in Treasury, Cash Management, FX Risk Management, Banking or Corporate Treasury.
  • Master’s degree in finance, Treasury, Economics, Accounting or a related discipline.
  • Professional treasury qualification (ACT, CTP or equivalent) is a plus.
  • Strong expertise in liquidity management, cash forecasting and cash pooling structures.
  • Experience working with multinational stakeholders and managing relationships with financial institutions.
  • Knowledge of payment systems, treasury controls, fraud prevention mechanisms and treasury governance frameworks.
  • Experience leading treasury transformation, automation or treasury systems implementation projects.
  • Strong analytical and problem-solving skills with the ability to translate data into actionable recommendations.

 

Why join us?

 

• Opportunity to shape rewards strategy in a standalone global business. 

• High visibility role with exposure to international environment and senior leadership. 

• Strategic impact on compensation, job architecture and pay transparency. 

 

 What do we offer?

 

We believe that success is driven by people. That’s why we offer a well-rounded benefits package designed to support well-being, growth, and quality of life:

•    Flexibility – hybrid work model

•    Continuous learning – access to training 

•    Health & well-being – private health insurance and wellness initiatives

•    Corporate welfare – flexible benefits platform

•    Career growth – internal mobility and development opportunities

•    Inclusive culture – collaborative and people-first environment. 

 

About Nestlé Waters & Premium Beverage

 Nestlé Waters & Premium Beverages is a standalone, globally managed business within the Nestlé Group. 

The company serves consumers in more than 100 markets with a portfolio of more than 35 brands, including S.Pellegrino, Perrier, Acqua Panna, Sanpellegrino Italian Sparkling Drinks, Maison Perrier, Buxton, Essentia, Levissima, La Vie and Nestlé Pure Life.  Building on its heritage and expertise in waters, Nestlé Waters & Premium Beverages is focused on growth in premium and better‑for‑your beverages, creating value for consumers, customers and stakeholders. 

Water stewardship is central to the business. Nestlé Waters & Premium Beverages is the only beverage company with all bottling sites certified to the Alliance for Water Stewardship (AWS) Standard. Additionally, the company has implemented around 70 water regeneration projects globally, as part of its ambition to protect and restore more water than it uses, working with local stakeholders and experts to identify shared water challenges and support solutions that build resilience and benefit communities and nature. 

Issy-les-Moulineaux, FR, 92130

Cash & FX Manager – Nestlé Waters & Premium Beverages

 

  • Nestlé Waters & Premium Beverages (NW&PB)
  • Location: Issy-les-Moulineaux (close to Paris)
  • Contract: Full-time, permanent contract
  • Languages: Fluent English required; French is a plus

 

Position Summary

 

As Global Cash & FX Manager, you will lead the Group's global cash management and foreign exchange activities, ensuring optimal liquidity visibility, effective FX risk mitigation, robust treasury governance, and efficient banking structures across NW&PB entities worldwide.

You will act as a key treasury business partner, supporting Finance, Tax, Accounting and Business teams while driving treasury optimization, payment security, banking efficiency and treasury transformation initiatives. This role reports to the Head of Treasury who is based in Paris.

 

 

What are the responsibilities ?

 

  • Lead global cash management activities, ensuring liquidity visibility and availability across all NW&PB entities.
  • Design and manage cash pooling, cash concentration and intercompany funding structures to optimize working capital and reduce financing costs.
  • Identify, assess and manage foreign exchange exposures and execute appropriate hedging strategies in line with Group policies.
  • Execute FX transactions while ensuring compliance with treasury policies, risk management principles and market best practices.
  • Manage relationships with global banking partners and support the optimization of banking services, structures and costs.
  • Oversee global payment processes and payment security controls to ensure operational efficiency, compliance and fraud prevention.
  • Partner closely with Finance, Accounting, Tax and Business teams to provide treasury expertise and support strategic initiatives.
  • Prepare treasury analyses, dashboards and management reporting related to liquidity, FX exposures, hedge performance and banking activities.
  • Lead treasury transformation initiatives, including treasury systems, automation and banking connectivity projects.
  • Ensure compliance with treasury policies, internal controls, regulatory requirements and audit expectations across all jurisdictions.
  • Support M&A transactions, reorganizations and other strategic projects from a treasury and funding perspective.
  • Drive continuous improvement initiatives to enhance treasury efficiency, governance and operational effectiveness.

 

What will make you successful?

 

  • 8 to 10 years of experience in Treasury, Cash Management, FX Risk Management, Banking or Corporate Treasury.
  • Master’s degree in finance, Treasury, Economics, Accounting or a related discipline.
  • Professional treasury qualification (ACT, CTP or equivalent) is a plus.
  • Strong expertise in liquidity management, cash forecasting and cash pooling structures.
  • Experience working with multinational stakeholders and managing relationships with financial institutions.
  • Knowledge of payment systems, treasury controls, fraud prevention mechanisms and treasury governance frameworks.
  • Experience leading treasury transformation, automation or treasury systems implementation projects.
  • Strong analytical and problem-solving skills with the ability to translate data into actionable recommendations.

 

Why join us?

 

• Opportunity to shape rewards strategy in a standalone global business. 

• High visibility role with exposure to international environment and senior leadership. 

• Strategic impact on compensation, job architecture and pay transparency. 

 

 What do we offer?

 

We believe that success is driven by people. That’s why we offer a well-rounded benefits package designed to support well-being, growth, and quality of life:

•    Flexibility – hybrid work model

•    Continuous learning – access to training 

•    Health & well-being – private health insurance and wellness initiatives

•    Corporate welfare – flexible benefits platform

•    Career growth – internal mobility and development opportunities

•    Inclusive culture – collaborative and people-first environment. 

 

About Nestlé Waters & Premium Beverage

 Nestlé Waters & Premium Beverages is a standalone, globally managed business within the Nestlé Group. 

The company serves consumers in more than 100 markets with a portfolio of more than 35 brands, including S.Pellegrino, Perrier, Acqua Panna, Sanpellegrino Italian Sparkling Drinks, Maison Perrier, Buxton, Essentia, Levissima, La Vie and Nestlé Pure Life.  Building on its heritage and expertise in waters, Nestlé Waters & Premium Beverages is focused on growth in premium and better‑for‑your beverages, creating value for consumers, customers and stakeholders. 

Water stewardship is central to the business. Nestlé Waters & Premium Beverages is the only beverage company with all bottling sites certified to the Alliance for Water Stewardship (AWS) Standard. Additionally, the company has implemented around 70 water regeneration projects globally, as part of its ambition to protect and restore more water than it uses, working with local stakeholders and experts to identify shared water challenges and support solutions that build resilience and benefit communities and nature. 

Issy-les-Moulineaux, FR, 92130

Issy-les-Moulineaux, FR, 92130

Issy-les-Moulineaux, FR, 92130

Apply now »