Cash Forecasting Expert

4 dni temu


Warszawa, Mazovia, Polska Perrigouk Pełny etat
Responsibilities

The successful candidate will be responsible for analyzing working capital, cash, and inventory for Perrigo Business Services in Warsaw. Key responsibilities include:

  • Preparing cash forecasts for 26-week periods
  • Performing Operating Cash Flow analysis and identifying variations to annual plans
  • Preparing comprehensive reports with detailed commentary for Management
  • Collaborating with Ops, Finance, and Business Partner clusters
  • Participating in the preparation of annual Operating Cash Flow plans
  • Implementing and maintaining systems, processes, documentation, projects, and programs used in Working Capital/Cash/Inventory policies and practices
Qualifications

To succeed in this role, you will need a minimum of 4 years of experience in finance/accounting in an international environment. A Bachelor's Degree in Finance, Controlling, or Accounting is also required.

You should have advanced knowledge of finance, particularly cash forecasting and working capital. Fluency in French and hands-on experience with Shared Services transitions are highly desirable.


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