Global Cash Controlling Manager

xfroid.fr

Paris, France
Fully remote
Strong financial expertise in ifrs
Proficiency in excel and powerpoint
Experience in cash flow analysis
You will contribute to the monitoring of Group Cash generation performance

Job Summary

  • You will contribute to the monitoring of Group Cash generation performance.
  • The role involves preparing cash reporting and supporting affiliates in performance monitoring.
  • We offer a collaborative workplace with the possibility to work from home two days a week.

Matching Summary

You will contribute to the monitoring of Group Cash generation performance.

Skills & Requirements

Must-have

  • Strong financial expertise in IFRS
  • Proficiency in Excel and PowerPoint
  • Experience in cash flow analysis

Nice-to-have

  • Excitement for fast-paced environments
  • Ability to build relationships
  • Open to different cultures

Key Requirements

  • 5-6 years in Audit Consulting Firm
  • Experience as Consolidation/Business Analyst
  • Engineer school/Business school degree

Work Rights

Not specified

Tailored Resume

Cover Letter