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Mélanie C.MC

Mélanie C.

CFO/Financial Director

€540/day
Marseille, FR
8-15 years

Average response time: 1 hour

Freelancer profile translated to English.
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About Mélanie

With 15 years of experience in corporate finance, I offer my services for CFO/Financial Director missions.

Throughout my career, I have worked in complex environments (restructuring, growth) with very high demands in terms of quality and deadlines, as well as in more human-sized entities requiring agility (very small businesses, SMEs).
Today, I draw on these experiences to help organizations structure themselves and control their financial activities.

I can assist you with your administrative and financial challenges such as:

- Outsourced CFO
- Management control, financial analysis
- Structuring your finance department
- Building financial and activity reporting
- Developing and monitoring your budgets / actuals
- Defining your key management indicators
- Optimizing your accounting cycles: clients, suppliers, fixed assets...
- Fast closing
- Digitalization of your financial cycles: treasury, clients, expense reports..
- Implementing management accounting
- Administrative assistance / office management
- Relations with all third parties: shareholders, chartered accountants, payroll firms, lawyers, banks, administrations
- Training your teams in accounting and office software areas
  • French

    Native or bilingual

  • English

    Conversational

Can work on-site
Marseille (up to 50km), Toulon (up to 10km), Avignon (up to 10km), La Ciotat (up to 10km), Narbonne (up to 10km)

Experience

  • DFE CONSEIL
    Financial Director
    CONSULTING AND AUDITS
    January 2022 - Today (4 years and 5 months)
    La Ciotat, France
    Supporting VSEs/SMEs:
    - Implementation of accounting software: from configuration to go-live, including training internal teams.
    - Development of a business plan
    - Training on Microsoft Excel
    - Business management training: how to follow up on overdue payments, manage cash flow, Chorus Pro...
    - Implementation of cash flow plans, client follow-up, activity and financial reporting, supplier mapping, budget.
    Business Plan Cash Flow Plan Microsoft Excel Training Accounting Consulting Technical Support Management Accounting Client Follow-up Supplier Management CRM QuickBooks Chorus Pro Treasury Budget
  • DELMONT IMAGING
    Financial Director
    MEDICAL
    January 2022 - December 2022 (1 year)
    La Ciotat, France
    In a context of growth and structuring of the finance department:

    - Optimization of client and supplier processes
    - Reliability of accounting information
    - Review and correction of KPIs
    - Stock depreciation methodology
    Accounting Management Accounting sage 100 Training Microsoft Excel Inventory Management Reporting Data Analysis Client Follow-up Supplier Management
  • WIN MEDIA
    Administrative and Financial Director
    SOFTWARE PUBLISHING
    February 2019 - October 2021 (2 years and 8 months)
    La Ciotat, France
    Within a human-sized company with €10M in revenue and 25 employees, I ensure the proper administrative and financial management of the entity and its subsidiaries in Singapore and Canada.

    - Implementation of steering and financial control tools
    - Management of Sage X3, Rydoo, Yooz IT systems
    - Review of internal procedures and implementation of corrective actions: client cycle, purchasing, treasury, VAT.
    - Supervision and management of accounting and closing activities for all entities
    - Cash monitoring and WCR improvement
    - CII and CIR
    - Structuring of the administrative and finance department
    - Research and development of subsidy and state aid applications
    CFO Financial Director Accounting Management Accounting Business Plan Production Monitoring Financial Analysis HR Management Consolidation Sage Sage X3 Accounting Closing Accounting Review Review Balance Sheet Cash Management Process Optimization Training Inventory Management Working Capital Requirement CIR VAT

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Education

  • Bachelor's Degree in Financial and Accounting Management
    IUT AIX MARSEILLE
    2010
    Traiter, analyser et contrôler toutes les opérations comptables et relatives à la gestion financière, Etablir les budgets et calculer les coûts afin de mesurer et contrôler la performance de l’entreprise et d’aider à la prise de décision, Elaborer un « business model » en analysant les ressources et l’environnement juridique, social et économique de l’entreprise, Produire les déclarations fiscales et sociales en relation avec l’administration fiscale, Communiquer sur les performances, les opportunités et les risques de l’entreprise en maîtrisant les systèmes d’information
  • Master 2 in Control, Audit, Consulting
    UNIVERSITE AIX MARSEILLE
    2018
    Comprendre et analyser les problématiques comptable et financière d'une entreprise Appréhender, et réaliser des missions de conseil, d’audit et de contrôle Maitriser et mobiliser les outils des systèmes d’information

Certifications

  • How to build a business plan – the keys to convincing.
    DFCG
    2022
    BUSINESS PLAN PROFITABILITY STRATEGY

Skill set (65)

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