FSE
48.8906081,2.1980633
We are looking for a new team member who will not only get the chance to discover our dynamic industry, but also gain hands-on experience in finance and controlling within an international environment, contribute to key business performance analyses, and work closely with cross-functional teams across the organization.
The position is based in our Headquarters (HQ) in Nanterre.
You probably have some more questions at this point, so let us introduce the main missions and opportunities:
Cash Controlling
- - - Support monthly cash closing and reporting activities
- Monitor cash flow performance, working capital
- Analyze variances versus budget, forecast, and prior periods
- Participate in cash forecasting
- Prepare financial reports and dashboards to support management decision-making
- Support initiatives to optimize cash generation and working capital performance
- Ensure consistency, reliability, and compliance of reported financial data
- Participate in cross-functional projects...