Cash Flow Manager (M/F/X)

Published on 27/02/2026

Manpower Luxembourg S.A. logo

Manpower Luxembourg S.A.


Working time
Type of contract
Spoken languages
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:

Come meet us

Moovijob Day Luxembourg

Friday 20 March 2026 Luxembourg

Manpower Luxembourg S.A. will be participating in the next Moovijob Day. Come meet your next potential employer and increase your chance of being hired.

Register for the event