Stage Cash Performance H/f - Paris - Septembre 2026
Pernod Ricard
Paris, France
Financial analysis
Cash flow generation
Financial reporting
You will contribute to the steering of the Group's cash generation (including Free Cash Flow) by collaborating with various group subsidiaries and other Finance departments at headquarters
Job Summary
You will contribute to the steering of the Group's cash generation (including Free Cash Flow) by collaborating with various group subsidiaries and other Finance departments at headquarters.
Your key missions will include conducting financial analyses in support of quarterly financial closings and monthly financial reporting, and monitoring indicators to assess the Group's cash performance (Working Capital, CAPEX, aging stock, FCF).
You will participate in financial forecasting analyses and assist in preparing materials for the presentation of results and for decision-making by Group Top Management.
Matching Summary
You will contribute to the steering of the Group's cash generation (including Free Cash Flow) by collaborating with various group subsidiaries and other Finance departments at headquarters.
Skills & Requirements
Must-have
Financial analysis
Cash flow generation
Financial reporting
Excel and PowerPoint proficiency
Fluent English and French
Nice-to-have
Business acumen
Team spirit
Initiative
Interest in wine and spirits sector
Key Requirements
Master's degree in Finance, Strategy, or Engineering
Previous experience in finance, audit firm, or strategy consulting preferred