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Treasury Senior Associate
Mistral.ai
Work Mode
Field
Type
Internship
Sector
Tech
First Seen
2026-08-09
Source
arbeitnow
Field Work IT ERP Data Finance Deadline Unclear Visa Sponsorship
Job Description
<h2><strong>About Mistral</strong></h2><p style="min-height:1.5em">Mistral provides full-stack AI solutions: from frontier models to developer tools, applications, and compute. We partner with enterprises tackling the hardest problems—across high-stakes industries like finance, manufacturing, defense, healthcare, and the public sector—co-creating customized AI systems that they can run on their terms.</p><p style="min-height:1.5em">We are a dynamic, collaborative team passionate about AI and its potential to transform society. Our diverse workforce thrives in competitive environments and is committed to driving innovation. Our teams are distributed between Europe, North America, Asia and the Middle East. We are creative, low-ego and team-spirited.</p><p style="min-height:1.5em"></p><h2>The Role</h2><p style="min-height:1.5em">As a <strong>Treasury Senior Associate</strong> on the <strong>Finance team</strong>, you will drive the day-to-day treasury operations while playing a key role in their automation. This position sits at the heart of Mistral’s financial workflows, ensuring liquidity, accuracy, and efficiency across global entities. You’ll own critical processes in Kyriba, from cash management to bank connectivity, and contribute to scaling our treasury infrastructure as the company grows.</p><p style="min-height:1.5em"></p><h2>What You Will Do</h2><ul style="min-height:1.5em"><li><p style="min-height:1.5em"><strong>Manage</strong> daily cash positioning, concentration, and funding transfers across entities and currencies.</p></li><li><p style="min-height:1.5em"><strong>Execute</strong> weekly payment runs and serve as the primary contact for manual payments and cash reconciliation.</p></li><li><p style="min-height:1.5em"><strong>Own</strong> bank account lifecycle activities, including openings, closures, signatory updates, and KYC/AML compliance.</p></li><li><p style="min-height:1.5em"><strong>Participate </strong>in Kyriba's implementation and automation for cash management, payments, and bank connectivity, including UAT and workflow configuration.</p></li><li><p style="min-height:1.5em"><strong>Reconcile</strong> bank activity with the general ledger and maintain treasury documentation for audits.</p></li><li><p style="min-height:1.5em"><strong>Contribute</strong> to short- and long-term cash forecasting, variance analysis, and ad hoc treasury projects.</p></li><li><p style="min-height:1.5em"><strong>Support</strong> internal controls, guarantee management, and derivative/security data capture.</p></li></ul><p style="min-height:1.5em"></p><h2>What We're Looking For</h2><ul style="min-height:1.5em"><li><p style="min-height:1.5em">Experience in corporate treasury, ideally in a startup or scale-up environment.</p></li><li><p style="min-height:1.5em">Hands-on expertise with Kyriba, including implementation or enhancement projects.</p></li><li><p style="min-height:1.5em">Knowledge of payment rails, SWIFT/host-to-host connectivity, and bank KYC
Skills
Finance