Operational Cash Flow Manager

5 dni temu


Warszawa, Mazovia, Polska Perrigouk Pełny etat
About the Role

This is an exciting opportunity to join Perrigo as a Financial Analyst. In this role, you will play a critical part in shaping the future of our financial operations.

You will be responsible for preparing cash forecasts, performing Operating Cash Flow analysis, and advising remediation actions. Your expertise will help drive results and shape the future of Perrigo's financial operations.

Key Requirements
  • Minimum 4 years of experience in finance/accounting in an international environment
  • Bachelor's Degree in Finance, Controlling, or Accounting
  • Advanced knowledge of finance, particularly cash forecasting and working capital
  • Fluency in French and hands-on experience with Shared Services transitions (highly desirable)

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