Group Cash Controlling Manager

Corby Spirit and Wine Ltd

Paris, France
Fully remote
Cash generation performance monitoring
Financial reporting and analysis
Consolidated management cash flow statement
The role involves preparing cash reporting, leading ambition/estimate processes, and presenting to top management

Job Summary

  • The role involves preparing cash reporting, leading ambition/estimate processes, and presenting to top management.
  • Key responsibilities include supporting and advising Group affiliates in monitoring performance and optimizing cash flow.
  • The company offers a collaborative workplace, possibility to work from home, comprehensive benefits, and attractive compensation.

Matching Summary

The role involves preparing cash reporting, leading ambition/estimate processes, and presenting to top management.

Skills & Requirements

Must-have

  • Cash generation performance monitoring
  • Financial reporting and analysis
  • Consolidated management cash flow statement
  • Excel and Power Point proficiency
  • IFRS accounting guidelines

Nice-to-have

  • Entrepreneurial environment
  • Relationship-builder
  • Open to different cultures
  • Proactivity and enthusiasm
  • Listening capacity and empathy

Key Requirements

  • 5-6 years in Audit Consulting Firm
  • 3-4 years in Audit Consulting Firm + Consolidation/Business Analyst Senior
  • Engineer school/Business school/Equivalent University Degree

Work Rights

Not specified

Tailored Resume

Cover Letter