Temps de travail
Type de contrat
Langues parlées
FR , EN

Manpower is looking for a Cash Flow Manager for one of its clients operating in the financial sector, located in Luxembourg, for a temporary assignment.


Your missions:


  • Prepare and update short-, medium- and long-term cash flow forecasts
  • Monitor daily bank positions and incoming and outgoing cash flows
  • Analyze variances between forecasts and actuals and propose corrective actions
  • Optimize working capital requirements (WCR) and the cash conversion cycle
  • Manage relationships with banking partners and monitor credit facilities
  • Produce treasury and cash flow reports for the Finance Department
  • Contribute to the improvement of treasury processes and tools
  • Ensure strict compliance with internal procedures and controls related to cash flows
  • Work closely with accounting, controlling and other finance teams
  • Support the continuous optimization and safeguarding of the company’s liquidity


Your profile:

  • Degree in Finance, Accounting, Business Administration or equivalent
  • Minimum of 5 years of experience in treasury, cash management or financial analysis
  • Good understanding of cash flow mechanisms and financial indicators
  • Strong command of Excel; knowledge of ERP or Treasury Management Systems (TMS) is an advantage
  • Analytical mindset, accuracy and strong organizational skills
  • Ability to work independently while collaborating with cross-functional teams
  • Good time management skills and ability to meet deadlines
  • Fluency in French and a good level of English


Interested in this opportunity? Apply now:

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