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Chloe BlanchardCB

Chloe Blanchard

Finance Consultant - Strategy

€800/day
Paris, FR
3-7 years

Average response time: 1 hour

Freelancer profile translated to English.
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About Chloe

Startups launching or growing, and ambitious SMEs: optimize your finance department to accelerate your success!

👉 I help startups and SMEs structure their finance department to secure their growth. Through a tailored financial strategy, powerful tools, and efficient processes, I support you in effectively managing your financial performance, optimizing your resources, securing your cash flow, and making informed strategic decisions.

To secure your growth and gain peace of mind, here's how I can help

📌 Finance Department Consulting and Structuring:
  • **Comprehensive Analysis**: A precise diagnosis of your tools, organization, results, and team to identify your strengths and areas for improvement.
  • **Personalized Action Plan**: A clear and adapted roadmap, covering financial management, business plan, cash flow, KPIs, and tools to implement.
  • **Concrete Implementation**: Deployment of the action plan, training for your teams, and support for integrating your future finance manager.

📌 Post-Structuring Support and Outsourced CFO/Finance Director Services:
  • **Complete Financial Management**: Cash flow management, accounting closings, budgets, and reporting, with smooth coordination of your financial partners.
  • **Strategic Consulting**: Cost optimization, profitability improvement, financial risk management, and support during key finance department recruitments.
  • **Flexibility**: Tailored support, ad-hoc or regular, to strengthen your finance team and sustainably support your growth.

💬 Ready to develop your finance function and secure your growth? Contact me to discuss!
  • French

    Native or bilingual

Can work on-site
Paris (up to 50km)

Experience

  • NetMedia Group
    Management Control Manager
    PRESS AND MEDIA
    January 2023 - April 2025 (2 years and 3 months)
    Boulogne-Billancourt, France
    • Development and monitoring of the group budget (operating, treasury) by operational center and analytical lines
    • Design, control, and analysis of monthly reporting for the group (operating, treasury) detailing results by operational center and analytical lines
    • Presentation of results in PPT format
    • In-depth analysis of key KPIs to manage performance and recommend corrective actions
    • Treasury management (liquidity, cash flow)
    • Optimization of IT tools and continuous training of teams to improve operational efficiency.
    KPI Treasury Performance Management Cash Flow Management Control
  • RYDGE CONSEIL
    Accounting Assistant
    CONSULTING AND AUDITS
    January 2022 - December 2022 (11 months)
    Courbevoie, France
    • Preparation of monthly management and treasury reporting
    • Annual accounts closing
    • Compliance with tax deadlines (VAT, Corporate Tax, CVAE…)
    • Analysis and review of analytical data
    • Deployment of the Spendesk platform as a credit card expense management tool for our clients

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Education

  • Master 2 - Accounting, Control, Audit
    Paris Dauphine University
    2021

Skill set

Categories