Benjamin Mabiala
Cash Manager at Keolis Group
Based in Paris, France
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Seniority
Manager
Department
Finance & Accounting
Location
Paris
Industry
Ground Passenger Transportation
Company size
7.7K
Contact information
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b•••••••@keolis.com
Phone
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Background
About Benjamin Mabiala
As a Treasury & Cash Management professional, I specialize in optimizing liquidity, managing international treasury operations, and driving financial efficiency across global organizations. Currently Cash Manager at Keolis Group, I bring hands-on experience from AXA France and Katz Milanec, where I contributed to treasury operations, cash flow forecasting, and cross-functional financial projects. My background combines both corporate and international exposure, enabling me to deliver results in dynamic and multicultural environments. Key strengths include: Liquidity management & European cash pooling Cash flow analysis, forecasting & reporting across multiple entities Strategic projects: capital increases, dividend operations, and investment optimization Strong adaptability, leadership, and communication skills developed through diverse roles in France and the United States With a Master’s in Finance from EDC Paris Business School and a Bachelor’s in Economics & Finance from Southern Illinois University Edwardsville, I leverage both academic excellence and practical expertise to create impactful solutions in corporate finance and treasury management- Professionnel de la Trésorerie et du Cash Management, je suis spécialisé dans l’optimisation de la liquidité, la gestion des opérations de trésorerie internationales et l’amélioration de l’efficacité financière des organisations. Actuellement Cash Manager chez Keolis Group, j’ai acquis une solide expérience chez AXA France et Katz Milanec, où j’ai participé à la gestion de trésorerie, aux prévisions de flux de trésorerie et à divers projets financiers transverses. Mon parcours, à la fois corporate et international, me permet de générer des résultats concrets dans des environnements dynamiques et multiculturels. Mes principales expertises : Gestion de la liquidité et cash pooling européen Analyse, prévision et reporting des flux de trésorerie multi-entités Projets stratégiques : augmentations de capital, opérations sur dividendes et optimisation des placements Forte capacité d’adaptation, leadership et communication développés dans des contextes variés en France et aux États-Unis Titulaire d’un Master en Finance à l’EDC Paris Business School et d’un Bachelor en Économie & Finance à Southern Illinois University Edwardsville, je mets à profit mon double parcours académique et professionnel pour proposer des solutions impactantes en finance d’entreprise et en gestion de trésorerie.
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