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Marc VankenhoveMV

Marc Vankenhove

SME Treasury | Cash Optimization

€850/day
1 project
Paris, FR
15+ years

Average response time: 1 hour

Freelancer profile translated to English.
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About Marc

I help SMEs quickly improve their available cash and secure their cash flows.

I undertake short, concrete, and immediately useful assignments: cash visibility, surplus optimization, cash flow structuring, and financing preparation.

My approach is simple: get to the point, clarify the situation, implement effective and measurable actions.

Interventions are mainly remote, with the possibility of occasional travel if necessary.

I support structuring or reorganization contexts, particularly in multi-entity environments (SARL, SCI, holdings), with challenges related to cash circulation, inter-company flows, and overall management.

Significant experience:
  • Multi-entity treasury management (300+ accounts) with improved cash visibility and cash flow security
  • Implementation of forecasts and dashboards to anticipate financing needs
  • Optimization of cash management and inter-company flows
  • Structuring of payment circuits and coordination between banks / accountants
  • French

    Native or bilingual

  • English

    Conversational

Can work on-site
Paris (up to 10km), Nevers (up to 10km)

Experience

  • VANKENHOVE FINANCE
    Founder – Vankenhove Finance | Financial Strategy & Treasury Consulting for SMEs/Mid-Caps
    CONSULTING AND AUDITS
    July 2011 - Today (15 years and 1 month)
    Paris, France
    For over 10 years, I have been an independent consultant for executives, managers, and liberal professionals, during key moments of their journey: growth, sale, structuring, or transformation.

    My approach is based on:

    A solid expertise in corporate treasury and financial engineering
    A fine understanding of professional asset management issues
    A capacity to clarify, structure, and secure long-term financial decisions

    🎯 Typical assignments:
    • Treasury optimization and management
    • Strategic consulting and asset structuring
    • Support for executives during transition or reflection phases
    • Outsourced financial management

    I favor tailor-made, concrete interventions, with a relationship based on trust and clarity.
    Executive Support Corporate Asset Management Financial Investment Financial Optimization Web Project Management
  • PARIS
    Treasury Back-Middle Office BAREP
    June 2004 - June 2005 (1 year)
    Opera, MI, Italy
    Cash and custodian securities, accounting reconciliations, suspense account resolution. Monitoring of mergers, portfolio feedering, application software optimization.
    Daily management of Euro/Foreign currency treasury, interbank payments via Swift. Management of deadlocks, treasury announcements, brokerage fees, suspense account resolution. Control and entry of interest rate scales, financial reporting. Project monitoring for treasury forecast improvement. Future activity manager for the valuation of French and Irish funds.
  • Amundi CREDIT AGRICOLE
    Management Assistant
    July 2005 - March 2011 (5 years and 8 months)
    Montparnasse, Paris, France
    Monitoring of Italian Fund Treasury, foreign exchange, assistance with AAA Fund valuation. Control of Cash and Securities positions (Media+). Optimization of reconciliation software. Training and support interface for bank and securities reconciliation software.

Reviews

5.0

Out of 1 rating

T

Taddeo

User Interview - Insify B.V.

Reviewed on 2/3/2026

It was a real pleasure to work with Marc. Thanks to his expertise, he provided valuable advice and feedback. The mission was accomplished with efficiency and quality. I highly recommend collaborating with Marc!

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Education

  • MBA Finance, Treasury, Financial Engineering
    Institut Supérieure du Commerce de Paris
    2003
    Finance : Analyse financière, modélisation, évaluation d’entreprise, marchés financiers, gestion d’actifs, normes IFRS, stratégie et ingénierie financière, fusions & acquisitions Trésorerie : Cash management, prévisions, optimisation du BFR, placements, financement court terme, gestion des risques de liquidité Ingénierie financière : Structuration, haut de bilan, levée de fonds, produits dérivés, arbitrage, scénarios de financement Assurance : Assurance vie, emprunteur, risques assurantiels, réglementation (Solvabilité II) Finance immobilière : Financement, valorisation, SCPI/OPCI, fiscalité et structuration d’opérations

Certifications

Skill set

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