CFO
Shape our financial strategy and automate finance with AI, partner with leadership, and drive growth through clear reporting, cash management, and compliant governance.
Define and drive the company's financial strategy alongside the executive leadership
Independently design, deploy, and continuously improve automation workflows and AI agents across all financial and administrative cycles
Produce monthly reporting (P&L, balance sheet, cash flow statement) and dashboards for management and the Board
Build and monitor the annual budget along with forecasts and profitability, margin, and variance analyses
Manage multi-currency treasury (EUR/USD, cryptocurrencies) and hedge foreign exchange exposure (~€4M/year)
Oversee general and analytical accounting and multi-entity consolidation (France, Turkey), in coordination with the external accountant and statutory auditors
Ensure the company's tax, social, and legal compliance (corporate tax, VAT, statutory filings, labor law, corporate records)
Manage relationships with financial and institutional partners (banks, investors, auditors, lawyers, public authorities)
Take part in financing operations: bank debt, fundraising, M&A, and due diligence
Identify and manage public funding schemes (R&D tax credits, public investment bank programs, grants)
Oversee administrative and HR management (payroll, contracts, insurance, intellectual property)
- Département
- Business Support
- Locations
- PARIS OFFICE
- Remote status
- Hybrid