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Junior Corporate Treasurer

Fuldtidsstilling

8th Arrondissement of Paris, Paris (France)

Offentliggjort den 7. september 2026

  • Opslagstype

    Fuldtidsstilling

  • Sted

    8th Arrondissement of Paris, Paris (France)

  • Startdato

    November 2026

  • Løn

    Oplysninger ikke angivet

  • Hjemmearbejde

    Delvist muligt

Location: Paris 8e

Contract: Permanent position (CDI)

Remote: 2 days per week

Language: English (working language)

About Curium

Curium is the world's largest nuclear medicine company, with over €1 billion in revenues. We develop, manufacture and supply radiopharmaceutical products — SPECT, PET and therapeutic — to more than 14 million patients every year, through a network of manufacturing facilities across Europe and the United States.

We operate in a high-growth niche: beyond our established diagnostic imaging franchise, we are rapidly expanding into oncology therapeutics, building new manufacturing capacity and growing our commercial footprint globally. Curium is PE-backed (LBO) and known for a fast-paced, performance-driven culture.

The Opportunity

This is a newly created position within Curium's five-person Corporate Treasury team (Incl. the candidate), based at our Paris headquarters. You will join a team that owns all central treasury activities: senior debt management, FX and interest rate hedging, TMS administration, treasury reporting and cash flow forecasting, liquidity management, surplus cash investment, off-balance sheet commitments and banking relationships.

Reporting to the Group Treasurer, you will be given real operational ownership from day one — processing payments, managing bank accounts and contributing to continuous improvement of our treasury tools and processes across an international, multi-currency Group.

What You'll Do

Daily operations

  • Oversee payment in the Group Treasury Management System (TMS), Diapason, and bank portals — creation, validation, execution, troubleshooting of rejected payments, Issuance of proof of payments
  • Ensure safe receipt of daily bank statements; flag and resolve discrepancies
  • Perform treasury reconciliations and update cash forecasts in the TMS
  • Handle accounting-team requests via Jira ticketing system (proofs of payment, bank statement clarifications, payment processing/rejections)
  • Set up and monitor intercompany and third-party payments

Bank account management

  • Support account openings/closings, KYC processes
  • Maintenance and administration of the company's bank account
  • Bank power updates

System administration

  • Help with the general administration of the Treasury Management System
  • Participate in the implementation and maintenance of SWIFT connectivity (payment file formatting, SFTPs, etc.)
  • Take part in troubleshooting and development of new payment file formats
  • Assist in internal controls and security of transactions (audit, fraud testing, etc.)

Other

  • Assist the cash manager on various cash management related activities
  • Perform treasury internal control checks; support year-end audit tasks
  • Help supervise the Group corporate card programme
  • Support other Corporate Treasury team members with ad hoc queries and administrative tasks
  • Contribute to the continuous improvement of Group treasury processes and tools

Systems you'll work with: Diapason TMS, Neofi, Trustpair (anti-fraud), FX-All, Fairways Guarantee, Jira, and multiple bank web portals.

Who You Are

What we're looking for

  • Master's degree in Finance, Business, Accounting or equivalent from a business school or university
  • Up to 2 years of relevant experience — a significant internship or apprenticeship in corporate treasury, a finance department, or a bank is valued
  • Fluent English and French (C1+) — daily working language with international teams
  • Advanced Excel (pivot tables, VLOOKUP, complex formulas) and in general good working knowledge of Microsoft Office
  • Rigorous and detail-oriented — zero-error mindset essential in treasury
  • IT-minded and comfortable with multiple systems simultaneously

What will set you apart

  • Hands-on experience with a TMS (Kyriba, Diapason, Sage XRT…)
  • Knowledge of SWIFT / SEPA payment standards
  • AFTE / ACT treasury qualification or training

Why Curium?

  • A newly created role with real ownership and impact from day one
  • Work within a small, senior team at the heart of a complex international treasury function
  • International scope across Europe & the US
  • Fast-growing company in a niche, high-growth market
  • 6 weeks of paid leave + RTT
  • 2 days/week remote working
  • Luncheon vouchers + public transport subsidy

Interested?

Apply directly on our platform : https://careers.curiumpharma.com/job-invite/6851/

Ansøgningsfrist

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Uddannelsesniveau

Kandidatuddannelsesniveau eller tilsvarende

Funktion

Corporate Finance

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