You will contribute to the steering of the Group's cash generation and monitor investment projects by collaborating with subsidiaries and other Finance departments
Job Summary
You will contribute to the steering of the Group's cash generation and monitor investment projects by collaborating with subsidiaries and other Finance departments.
Key missions include conducting financial analyses for quarterly closings, preparing management decision-making materials, and tracking indicators like BFR, CAPEX, and FCF.
The role offers the possibility of remote work (2 days/week), attractive compensation, a company restaurant, and internal events within magnificent Parisian offices.
Matching Summary
You will contribute to the steering of the Group's cash generation and monitor investment projects by collaborating with subsidiaries and other Finance departments.
Skills & Requirements
Must-have
Financial analysis support
Powerpoint presentation preparation
Cash performance indicator tracking
Cash flow forecasting analysis
Fluent French and English
Nice-to-have
Team spirit and autonomy
Dynamic company culture
International environment
Key Requirements
6 months internship duration
School/University internship agreement
Good knowledge of Corporate Finance
Proficiency in Excel and Powerpoint
Previous experience in finance, audit, or strategy consulting is an advantage