Stage Cash Performance - H/f

Pernod Ricard

Paris, France
Remote
Financial analysis support
Powerpoint presentation preparation
Cash performance indicator tracking
You will contribute to the steering of the Group's cash generation (including Free Cash Flow) and monitor Group investment projects (CAPEX)

Job Summary

  • You will contribute to the steering of the Group's cash generation (including Free Cash Flow) and monitor Group investment projects (CAPEX).
  • You will conduct financial analyses in support of quarterly financial closings and contribute to the preparation of PowerPoint presentations for Top Management decision-making.
  • You will work in our magnificent offices in the heart of Paris, with the possibility of teleworking (2 days per week), attractive remuneration, and internal events.

Matching Summary

You will contribute to the steering of the Group's cash generation (including Free Cash Flow) and monitor Group investment projects (CAPEX).

Skills & Requirements

Must-have

  • Financial analysis support
  • Powerpoint presentation preparation
  • Cash performance indicator tracking
  • Treasury forecast analysis

Nice-to-have

  • Team spirit and autonomy
  • Warm team environment
  • Conviviality and sharing culture

Key Requirements

  • 6 months internship required
  • School/University convention required
  • Fluent French and English
  • Proficiency in Excel and PowerPoint
  • Good knowledge of Corporate Finance

Work Rights

Not specified

Tailored Resume

Cover Letter