Treasury Manager

Paris
Corporate – Finance /
Full-time /
Hybrid
Voodoo is a tech company that creates mobile games and apps. With 7 billion downloads and over 150 million monthly active users, Voodoo is the #3 mobile publisher worldwide in terms of downloads after Google and Meta.

The company is one of the most impressive examples of hypergrowth in the ecosystem, having raised over $1B and backed by Goldman Sachs, Tencent, and GBL.

Voodoo is now a team of over 750 employees worldwide, we’re looking for talented individuals from across the globe to come and entertain the world with us.


Team

Our Corporate teams support the company’s performance and growth whilst putting people at the core of everything they do. As a French tech leader and global successful company, our Corporate teams are constantly looking for ways to innovate and increase organization efficiency to keep Voodoo ahead of the market. Voodoo’s Corporate function is composed of five teams: HR, Talent acquisition, Legal, M&A and Finance, working together to drive Voodoo’s success.

We are looking for a Treasury Manager who will manage risks and liquidity to support Voodoo’s business operations. You will be managing a Treasurer and will report to the CFO.

Role

We are looking for a talented & reliable Treasurer to join our team to maintain stewardship for financial assets and debt, including overall leadership of the cash management, debt management and investment management functions of the organization and its affiliated entities.

You will ensure the maintenance of corporate liquidity & financial stability, and will be key for developing and managing strategies, operations, policies and budgets relating to treasury activities.

You will also oversee the development and revision of the financial policies for working capital, treasury operations, and foreign exchange & interest rate risk management.

Your main challenges will be:

    • Ensure the day to day cash management (France & international subsidiaries)
    • Submit reports of present financial situation and establish reliable cash forecasts
    • Maintain relations with banks (day-to-day and lending banks)
    • Assist in the development of financing strategies
    • Follow and manage debt covenants
    • Ensure appropriate accounting treatment of financial operations (IFRS 9)
    • Hedging: formalize a financial risk management framework; propose & execute FX & IRhedging operations
    • Manage bank deposits, including structured deposits
    • Deploy treasury projects (SCF, Factoring, cashpooling automation…)
    • Cash and liquidity forecasting
    • Maintain and administer the group TMS
    • Enhance existing processes (keep deploying and improving the treasury system, post merger integration)

Profile

    • BSc/MSc in finance, accounting, or relevant field
    • Proven experience as treasurer (7 years minimum) or in a relevant financial role
    • Fluent in French & English
    • Thorough knowledge of financial legislation, regulation and practices
    • Knowledge of monetary market, investment management and financing techniques
    • Working knowledge of MS Office + Google Suite and financial management software (SAP, Oracle etc.)
    • Excellent communication and interpersonal skills
    • Well-organized and reliable
    • Excellent leadership and decision-making abilities

Benefits:

Competitive salary upon experience
Swile Lunch voucher
Gymlib (100% borne by Voodoo)
Premium healthcare coverage SideCare, for your family is 100% borne by Voodoo
Child day care facilities (Les Petits Chaperons rouges)
Wellness activities in our Paris office
Unlimited vacation policy
Remote days (mondays & fridays)

Voodoo just won the award for Best Office Space in France