You're seeing this page as if you were . The main menu is still yours, though. Exit from immersion
Matthieu JungMJ

Matthieu Jung

Finance Ops | Cash Management & Reconciliation

€450/day
Paris, FR
3-7 years

Average response time: 1 hour

About Matthieu

Fractional Finance & Operations Manager specialized in securing liquidity and optimizing financial flows for SMEs and Startups. I bridge the gap between complex banking standards and agile business needs.

Core Value Proposition:

  • Cash Management: Forecasting, liquidity monitoring, implementation of tools (SaaS Tools, Qonto, Excel).
  • Cash Recovery: DSO reduction, systematic AR follow-up, dispute resolution.
  • Modern FinOps: Automating reconciliations (VBA/Python), leveraging AI for data analysis, and structuring workflows on Notion/Slack
Background: Ex-Corporate & Investment Banking (Crédit Agricole) repurposed for operational efficiency. Fluent English/French.
  • French

    Native or bilingual

  • English

    Native or bilingual

Remote only
Primarily works remotely

Experience

  • Private Liquidity & Treasury Operations
    Independent / Private Tech
    PRIVATE EQUITY
    January 2021 - Today (5 years and 6 months)
    Paris, France
    Managed proprietary capital treasury with a focus on liquidity preservation and execution efficiency across fragmented markets.

    • Cash Pooling & FX: Orchestrated multi-currency flows and optimized conversion costs (EUR/USD/Stablecoins).
    • Risk Management: Monitored counterparty risk and implemented strict exposure limits across venue providers.
    • Automation: Developed custom dashboards (Python/Excel) for real-time liquidity monitoring and variance analysis.
    • Reconciliation: Managed complex settlement cycles and bridged gaps between trade execution and accounting data.
    Microsoft Excel Reconciliation Risk Management Cash management Multi-currency Management
  • Crédit Agricole CIB
    Cash Ops & Settlement Manager
    BANKING AND INSURANCE
    March 2023 - February 2025 (1 year and 11 months)
    Paris, France
    Ensured the security and accuracy of high-volume financial flows (>€2B daily).

    • Payment Operations: Secured cross-border payments and settlements (SWIFT/SEPA).
    • Dispute Resolution: Managed investigation of payment fails and discrepancies with international counterparts (Recovery mindset).
    • Process Improvement: Implemented data verification protocols to reduce manual errors by 15%.
    • Stakeholder Management: Main liaison between Front Office and Back Office for operational incidents.
    Cash Flow Reconciliation & Settlement Investment Banking Forex Risk & Internal Control Interbank Settlement
  • Crédit Agricole
    Risk & Permanent Control Analyst
    January 2020 - December 2022 (2 years and 11 months)
    Serbia
    • Reporting Automation: Automated 90% of recurring risk reports using VBA, saving 20+ man-hours/week.
    • Data Reliability: Structured databases for accurate credit risk monitoring and maturity schedules.
    EXPERT EXCEL VBA Risk Management Microsoft Excel

Recommendations

Be the first to recommend Matthieu

Help this freelancer shine by sharing your experience working together.

These freelancer profiles also match your criteria

AgathaA

Agatha Frydrych

Backend Java Software Engineer

4.7

(3)

2

BaptisteB

Baptiste Duhen

Fullstack developer

4.6

(4)

5

AmedA

Amed Hamou

Senior Lead Developer

4

(2)

7

AudreyA

Audrey Champion

Web developer

4.3

(3)

4

Education

  • Master's Degree in Finance
    INSEEC Bordeaux
    2017
    Master's Degree in Finance
  • Diploma in Finance & Accounting
    IUT of Tours
    2013
    Diploma in Finance & Accounting

Skill set

Categories