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Antoine GrosmaireAG

Antoine Grosmaire

CFO - Administrative and Financial Manager

€600/day
8 projects
Paris, FR
8-15 years

Average response time: 2 hours

Freelancer profile translated to English.
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About Antoine

I take charge of unstructured administrative and financial functions and make them manageable within a few months.

As an operational Administrative and Financial Manager, I work with SMEs (€1 to €15 million in revenue), startups, and growing or struggling companies when the administrative and financial organization needs to be secured, professionalized, or strengthened.

🎯 My role: secure cash flow, ensure reliable financial data, structure processes, and provide management with reliable steering tools to make the right decisions.

🛠️ Specifically, I work on:

• Cash flow management and forecasting
• Financial reporting and dashboards
• Budgets, reforecasts, and business plans
• Management control and performance monitoring
• Administrative and financial organization
• Structuring internal procedures and processes
• Accounting follow-up and coordination with the accounting firm
• Invoicing, debt collection, and accounts receivable optimization
• Banking relations and financing follow-up
• Monthly closings and preparation of financial statements
• Implementation of management and automation tools
• Support for executives in steering their business

📈 Recent achievements:

• Complete structuring of the administrative and financial function in over 20 companies
• Implementation of reporting, budgets, and cash flow forecasts
• Significant reduction in outstanding payments through process redesign for debt collection
• Support for high-growth and reorganization phase companies
• Participation in a fundraising round and several financing projects

📚 Background:

MSc Accounting - Control - Audit (IAE Dijon) and certified in Corporate Finance (EDHEC), I have worked in accounting firms (KPMG, Numbr, Fidutec Europe), in companies, and then in consulting.
  • French

    Native or bilingual

  • English

    Fluent

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

Experience

  • Prescriptive-fs
    Malt logoOn Malt
    Financial analysis of company groups: Methodology and calculations
    February 2025 - February 2025
    Mission Plan:
    Foreword 1: Understanding the difference between individual and consolidated accounts
    Foreword 2: How to know which types of accounts are presented in financial communication?
    Foreword 3: Do all groups have to produce consolidated accounts?
    Foreword 4: Knowing the scope of company groups
    Foreword 5: Taking into account different types of holdings within a company group
    Foreword 6: Accounting standards used and types of account presentations
    Foreword 7: The impact of different regulatory frameworks on the financial analysis of company groups
    Methodology for the financial analysis of company groups - WITH CONSOLIDATED ACCOUNTS + PCG STANDARDS
    Methodology for the financial analysis of company groups - WITHOUT CONSOLIDATED ACCOUNTS + PCG STANDARDS
    Calculations used to perform financial analysis of groups
    Data Analysis Financial Analysis Finance Director CFO Consulting Business Analysis Finance
  • Loop's audiovisuel
    Malt logoOn Malt
    Implementation of comprehensive financial monitoring
    February 2025 - February 2025 (1 month)
    Implementation of comprehensive financial monitoring
    Data Analysis Finance Director CFO Cash Flow Monitoring Cash Flow Forecasting Cash Flow Cash Flow Management Cash Flow Management
  • Prescriptive-fs
    Malt logoOn Malt
    Financial analysis of statutory accounts
    January 2025 - February 2025 (1 month)
    Financial analysis carried out on 19 companies.
    From the individual accounts of the companies, the objective was to analyze their profitability, financial structure, and cash flow generation.
    Data Analysis Financial Analysis Finance Director CFO Business Analysis Finance

Reviews

5.0

Out of 5 ratings

JacquesJ

Jacques

KELIPS ASSURANCE SAS

Reviewed on 2/10/2025

Antoine carried out a financial analysis of remarkable accuracy for an acquisition project. His work was perfect: clear, rigorous, and delivered in incredible time. His expertise and professionalism convinced me completely. I recommend him without hesitation and am already planning to collaborate with him on other missions. An exceptional freelancer!
L

Louis

Webylum

Reviewed on 2/9/2025

Always very satisfied with the work done by Antoine.

Recommendations

LW
Brice SiguraBS
Hélène BetouxHB
Loan Wacker and 2 other people have recommended Antoine

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Education

  • Corporate Finance
    EDHEC Business School
    2024
    Formation dédiée à l’approfondissement des compétences en finance d’entreprise et pilotage stratégique. Le programme m’a permis de renforcer ma maîtrise des leviers financiers de création de valeur et des outils de décision utilisés au sein des directions financières et des comités de direction. 🔹 Principaux enseignements : • Analyse et valorisation d’entreprise (DCF, multiples, cash-flows). • Gestion de la structure financière et politique de financement. • Stratégie d’investissement et allocation du capital. • Mesure de la performance et pilotage de la rentabilité. • Gouvernance financière et création de valeur à long terme. 🔹 Objectif professionnel : Approfondir la dimension corporate et stratégique de mes fonctions de DAF, afin de relier la finance opérationnelle à la vision long terme des dirigeants et des investisseurs.
  • Master 2 , Accounting Control Audit
    IAE DIJON
    2016
    Formation préparant aux métiers de la direction financière, de l’audit et de l’expertise comptable. Le cursus m’a apporté une maîtrise approfondie des principes comptables, de la gestion financière, du contrôle interne, de la fiscalité et de l’audit légal. 🔹 Travail de recherche académique : Rédaction de mon mémoire de Master 2 : « L’impact de la politique conjoncturelle du gouvernement sur les PME industrielles : les investissements exceptionnels et les crédits d’impôt à la recherche, à l’innovation et pour la compétitivité et l’emploi. » Ce travail m’a permis de relier analyse macroéconomique et réalité opérationnelle, et d’approfondir ma compréhension des dispositifs d’aide à la compétitivité et à l’innovation (CII, CIR, CICE). 🔹 Compétences clés développées : • Comptabilité financière • Contrôle de gestion et pilotage de la performance • Audit légal et contrôle interne • Gestion financière et trésorerie • Fiscalité des entreprises • Systèmes d’information comptable

Skill set

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