Global Cash Controlling Manager

Pernod Ricard

Paris, France
Fully remote
Group cash generation performance
Cash flow statement analysis
Financial reporting
Contribute to the monitoring of the Group Cash generation performance through deep analysis and participation in Group projects

Job Summary

  • Contribute to the monitoring of the Group Cash generation performance through deep analysis and participation in Group projects.
  • Responsible for building and accuracy of the Group’s consolidated management cash flow statement in collaboration with various HQ finance teams.
  • Participate in the Group Financial Digital Transformation roadmap by leading specific projects and bringing cash expertise to HQ teams and affiliates.

Matching Summary

Contribute to the monitoring of the Group Cash generation performance through deep analysis and participation in Group projects.

Skills & Requirements

Must-have

  • Group Cash Generation Performance
  • Cash Flow Statement Analysis
  • Financial Reporting
  • Excel and PowerPoint Proficiency
  • Financial Digital Transformation

Nice-to-have

  • Convivial Teams
  • Business Challenges Understanding
  • Relationship Builder
  • Open to Different Cultures
  • Improve Cash Culture

Key Requirements

  • 5-6 years in Audit Consulting Firm
  • 3-4 years in Audit Consulting Firm + Consolidation/Business Analyst Senior
  • Strong financial expertise (IFRS, Balance Sheet, Cash)
  • ERP/EPM system knowledge

Work Rights

Not specified

Tailored Resume

Cover Letter