Founded in 2021, Stoïk set out to become a leading cyber insurance player in Europe, and has been moving fast ever since:
Insurance: we tripled in 2024 and doubled again in 2025, now protecting more than 10,500 European companies and managing over €45m in premiums
Cyber services: we successfully launched our cyber prevention SaaS product, now generating more than €5m in ARR
Incident Response: our team handled more than 700 cyber incidents in 2025, helping protect our insured portfolio
Backed by over €60m in funding from top-tier investors (a16z, Alven, Impala, Munich Re), Stoïk operates across six countries: France, Germany, Austria, Spain, Belgium and the Netherlands.
To support our continued growth, we’re strengthening our Group Finance team in Paris and are hiring an FP&A Analyst to work alongside our FP&A Manager, Tristan. In this role, you’ll help scale our reporting and analytics, and contribute to high-impact projects such as geographic expansion, M&A, and the launch of new insurance and SaaS products. You’ll work closely with leadership and play a key role in shaping the finance function within a fast-growing team of 150+ people.
What you’ll do :
Redesign and streamline our existing group reporting tools and processes to support increasing complexity (multiple geographies and product lines)
Track actuals vs. budget across all entities, analyze variances, and set up relevant alerts
Produce the Group consolidated financial statements
Prepare recurring reporting packages for investors and leadership
Revamp the annual budgeting process and build a solid quarterly reforecasting cycle, in collaboration with our Finance Ops, Léa
Own and improve financial models, ensuring the consistency and reliability of forecast data
Deliver clear, scenario-based forecasts to support strategic decision-making
Identify and participate actively to automation opportunities within FP&A (reporting, consolidation, forecasting)
Work closely with the FP&A Manager on implementing a new finance stack (ERP / EPM) to improve efficiency and data quality
Support key business decisions through tailored financial analyses and business cases
Contribute to cross-functional finance projects such as geographic expansion, new product launches, M&A, or ERP implementation
We’re looking for :
Graduate from a top-tier business or engineering school (or equivalent)
3-5 years of experience in a startup, venture capital, M&A, transaction services, or similar environment
Strong Excel and presentation skills (Google Sheets, Pitch, PowerPoint, or similar data visualization tools)
Solid understanding of finance, with a strong interest in startup financial challenges
Experience with xP&A tools is a plus
Fluent in English and French; additional languages are a strong plus
You’re rigorous in financial modeling and reporting, and recognized as a reliable source of insight
You’re comfortable owning your scope and working autonomously
You’re proactive, curious, and enjoy identifying new projects and opportunities
You communicate clearly and confidently, with a strong business mindset and the ability to engage cross-functional teams (Marketing, Sales, Ops, Data, etc.)
You’re highly organized and able to manage multiple priorities, stakeholders, and deadlines effectively
First phone call with our Talent Acquisition Léna (20min)
First interview with our Head of Finance Louis (30min)
Case Study with Louis and Tristan (FP&A Manager) (Preparation + 1h debrief)
Round of interviews with our founding team (2h - on site)
Rencontrez Jules , CEO et co-fondateur
Rencontrez Xavier, Co-Directeur du CERT et SOC
Ces entreprises recrutent aussi au poste de “Planification et analyse financières”.