What are the responsibilities and job description for the Marketing Director position at Kraken Regen?
Company Description Kraken Regen is a regenerative medicine research company focused on developing advanced platforms for next-generation 3D biosystems. Its flagship product, Kraken Collagen Hydrogel, is a high-purity, research-grade matrix engineered to closely mimic natural extracellular environments. Researchers use Kraken Regen’s solutions for 3D bioprinting, organoids and advanced cell culture, tissue engineering, and preclinical research. The company is dedicated to enabling more accurate, scalable, and innovative research workflows. Kraken Regen provides a foundation that supports discovery and accelerates progress in regenerative medicine.
Role Description The Directeur opérations de trésorerie will oversee daily treasury and cash operations to ensure optimal liquidity, risk management, and support for Kraken Regen’s growth. This full-time remote role includes managing cash positions, executing payments, monitoring bank accounts, and ensuring accurate cash flow forecasting and reporting. The role is responsible for developing and implementing treasury policies, optimizing banking structures, and coordinating with Finance to align cash management activities with broader financial strategies. The individual will analyze cash trends, support budgeting and forecasting processes, and propose improvements to systems and processes. Collaboration with internal stakeholders and external banking partners is essential to maintain strong controls and efficient treasury operations.
Qualifications
Role Description The Directeur opérations de trésorerie will oversee daily treasury and cash operations to ensure optimal liquidity, risk management, and support for Kraken Regen’s growth. This full-time remote role includes managing cash positions, executing payments, monitoring bank accounts, and ensuring accurate cash flow forecasting and reporting. The role is responsible for developing and implementing treasury policies, optimizing banking structures, and coordinating with Finance to align cash management activities with broader financial strategies. The individual will analyze cash trends, support budgeting and forecasting processes, and propose improvements to systems and processes. Collaboration with internal stakeholders and external banking partners is essential to maintain strong controls and efficient treasury operations.
Qualifications
- Strong expertise in Treasury Management and Cash Management, with experience overseeing daily liquidity and banking operations.
- Proficiency in Finance and Cash Flow Forecasting to support strategic planning, budgeting, and long-term funding decisions.
- Advanced Analytical Skills for interpreting financial data, identifying trends, and recommending process and efficiency improvements.
- Experience with treasury systems, banking platforms, and financial reporting tools; ability to work effectively in a remote environment.
- Bachelor’s or master’s degree in Finance, Accounting, Business, or a related field, or equivalent practical experience.
- Strong attention to detail, organizational skills, and ability to manage multiple priorities in a fast-paced, research-driven company.
- Excellent written and verbal communication skills in English; comfort collaborating across multidisciplinary and international teams.