Cash Flow & Working Capital Analyst

Perrigo Company

Warsaw, Poland
Not specified; not specified; competitive compensa...
On-site
4 years finance or accounting experience
Advanced excel skills required
Fluent english communication
The role focuses on preparing operating cash flow plans and analyzing results for selected European regions

Job Summary

  • The role focuses on preparing operating cash flow plans and analyzing results for selected European regions.
  • Candidates will support the implementation of forecasting systems while ensuring compliance with internal policies.
  • The company offers a hybrid working model with three days in the office and two days remote.

Matching Summary

The role focuses on preparing operating cash flow plans and analyzing results for selected European regions.

Salary

Not specified; Not specified; Competitive compensation and benefits package

Skills & Requirements

Must-have

  • 4 years finance or accounting experience
  • Advanced Excel skills required
  • Fluent English communication
  • Cash flow management expertise
  • Working capital analysis knowledge

Nice-to-have

  • Shared Services transition experience
  • Cross-functional collaboration skills
  • Inclusive collaborative culture fit
  • Continuous improvement mindset
  • Strong presentation abilities

Key Requirements

  • Bachelor's degree in Finance, Accounting, or related field
  • Minimum 4 years of international finance experience
  • Experience in cash forecasting and working capital

Work Rights

Not specified

Tailored Resume

Cover Letter