Cash Forecasting Expert
4 dni temu
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
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.
-
Cash Flow Expert
19 godzin temu
Warszawa, Mazovia, Polska Sagan World LLC Pełny etatJoin Sagan World LLC as a Cash Flow Expert - Forecasting and Analysis. We are looking for a professional with expertise in cash flow management and financial analysis. The successful candidate will be responsible for preparing and managing 13-week cash flow projections.As a key member of the financial operations team, you will:Prepare and manage 13-week cash...
-
Cash Flow Manager
12 godzin temu
Warszawa, Mazovia, Polska TN Poland Pełny etatJob Summary:We are looking for a highly skilled Financial Analyst to join our team as a Cash Flow Manager. As a key member of our finance department, you will be responsible for managing 13-week cash flow projections, conducting financial forecasting, and driving forecasting initiatives.Responsibilities:Manage 13-week cash flow projections to ensure...
-
Senior Financial Professional
12 godzin temu
Warszawa, Mazovia, Polska TN Poland Pełny etatPosition Description:We are seeking a Senior Financial Professional to join our team as a Cash Flow and Forecasting expert. As a key member of our finance department, you will be responsible for developing and implementing financial strategies that drive business growth.Responsibilities:Develop and implement financial strategies that drive business...
-
Warszawa, Mazovia, Polska TN Poland Pełny etatTN Poland is seeking a highly skilled Working Capital and Cash Forecasting Specialist to join our team. As a Working Capital and Cash Forecasting Specialist, you will be responsible for preparing cash balance forecasts, analyzing risks and opportunities, and performing Operating Cash Flow analysis.Key Responsibilities:Prepare cash balance forecasts for a...
-
Sales Forecasting Expert
2 dni temu
Warszawa, Mazovia, Polska L'Oréal Pełny etatJob DescriptionL'Oréal Consumer Products is a dynamic and innovative company that offers a unique opportunity for a Sales Forecasting Expert to join our team. As a key player in our commercial operations, you will be responsible for developing and implementing sales forecasting strategies that drive business growth and improve forecast accuracy.Develop and...
-
Global Cash Flow Expert
5 dni temu
Warszawa, Mazovia, Polska Devire Pełny etatJoin us as a Global Cash Flow Expert and play a critical role in shaping the future of our company's financial operations.Key Areas of FocusDevelop and implement strategies to optimize cash flow and improve working capital efficiency.Provide expert guidance and support to internal stakeholders on cash flow management best practices.Collaborate with external...
-
Treasury / Cash Management Expert
4 tygodni temu
Warszawa, Mazovia, Polska TN Poland Pełny etatJob Title: Treasury / Cash Management ExpertThe role of a Treasury / Cash Management Expert is to manage the company's cash flow and ensure its liquidity.Key Responsibilities:Reconcile daily treasury bank statements and identify any discrepancies.Manage the company's cash position to minimize idle cash and ensure adequate liquidity.Oversee the local...
-
Treasury Modelling and Forecasting Expert
4 dni temu
Warszawa, Mazovia, Polska Standard Chartered Pełny etatTreasury Modelling and Forecasting ExpertiseWe are looking for a seasoned expert to lead our Treasury Modelling and Forecasting efforts. As a key member of our team, you will be responsible for developing and implementing advanced financial models and tools to support liquidity risk management.Your key responsibilities will include:Designing and developing...
-
Forecasting and Financial Planning Expert
16 godzin temu
Warszawa, Mazovia, Polska Michael Page Pełny etatAbout the PositionWe are seeking a highly skilled Forecasting and Financial Planning Expert to join our team in Warsaw. As a key member of our finance team, you will play a vital role in supporting informed decision-making and providing crucial financial insights to drive business growth.The successful candidate will be responsible for leading forecasting...
-
Forecasting Model Developer
5 dni temu
Warszawa, Mazovia, Polska Euronet – EFT Segment Pełny etatAbout the OpportunityWe're seeking a skilled Data Scientist to lead our forecasting efforts and drive business growth through accurate predictions and informed decision-making.In this role, you will develop and refine predictive models, integrate new technologies and algorithms, and collaborate with cross-functional teams to enhance forecast accuracy and...
-
Cash Flow
4 tygodni temu
Warszawa, Mazovia, Polska TN Poland Pełny etatRole OverviewWe are seeking a skilled Cash Flow & Working Capital Analyst to join our team at Perrigo in Warsaw, Poland.About the RoleThis is an exciting opportunity to work on the analysis of working capital, cash and inventory for Perrigo Business Services in Warsaw, possibly for given countries / legal entities.Key ResponsibilitiesPrepare a 26-week cash...
-
Operational Cash Flow Manager
4 dni temu
Warszawa, Mazovia, Polska Perrigouk Pełny etatAbout the RoleThis 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...
-
Cash Flow/Cash Management Analyst with French, Warsaw
4 tygodni temu
Warszawa, Mazovia, Polska TN Poland Pełny etatJob SummaryCash Flow/Cash Management Analyst role seeks a finance professional to evaluate cash flow, working capital, and inventory performance. The ideal candidate will have four years of experience in finance or accounting, with expertise in cash flow forecasting and working capital optimization.Key Responsibilities:Conduct comprehensive evaluations of...
-
Cash Management Expert
6 dni temu
Warszawa, Mazovia, Polska TN Poland Pełny etatWe are looking for a talented individual to fill the role of Cash Management Expert. In this position, you will work on developing, implementing, and maintaining quantitative models for the Treasury function.You will be responsible for all quantitative aspects of margin modeling to improve optimization capabilities. The successful candidate will have a...
-
Cash Flow/Cash Management Analyst with French
4 tygodni temu
Warszawa, Mazovia, Polska Michael Page Pełny etatO naszym kliencieOur client, a major international company, is looking for a Cash Flow and Cash Management Analyst with French for their new Shared Services Center in Poland. This is an exciting chance to start and grow while establishing the process in this new SSC. The company offers a flexible work model that combines office and remote work (3x per week...
-
Professional with a Strong Focus on Cash Flow Management
12 godzin temu
Warszawa, Mazovia, Polska TN Poland Pełny etatAbout the Role:This position is focused on financial planning and analysis, with a strong emphasis on cash flow management. You will work closely with leadership to develop and implement financial strategies that drive business growth.Key Tasks:Develop and manage 13-week cash flow projections.Conduct financial forecasting, budgeting, and variance...
-
Cash Allocation Expert
5 dni temu
Warszawa, Mazovia, Polska AmeriGas Polska Sp. z o.o. Pełny etatAbout AmeriGas Polska Sp. z o.o.We are a multinational corporation operating in a culturally diverse environment. Our team is responsible for ensuring the accurate and timely posting of incoming payments to the appropriate customer accounts.As a Cash Allocation Specialist, you will play a critical role in our organization by reconciling cash transactions,...
-
Cash & WOCA Analyst with French, Warsaw
4 tygodni temu
Warszawa, Mazovia, Polska TN Poland Pełny etatKey ResponsibilitiesAnalyze working capital, cash and inventory for PBS Poland and potentially other countries or entities.Apply guidelines for cash management, working capital and inventory management.Scope of the RoleForecast cash balances for a 26-week period, identify risks and opportunities, and track performance metrics.Conduct Operating Cash Flow...
-
Cash Application Expert
6 dni temu
Warszawa, Mazovia, Polska TN Poland Pełny etatCompany Overview:TN Poland is a global corporation that offers a dynamic and innovative work environment within a global structure. We value our employees and are dedicated to delivering exceptional services to clients worldwide.Cash Application AnalystJob Description:Daily booking of bank statements, both manually and using RPA solutions.Clearing of AR...
-
Treasury / Cash Management Expert
4 tygodni temu
Warszawa, Mazovia, Polska Michael Page Pełny etatO naszym kliencieOur client is a global company, famous for their quality approach to business. They have an office in Warsaw, Poland, which is well communicated with various parts of the city.Opis stanowiska- Manage daily treasury bank reconciliation (actual vs forecast) and define appropriate actions on unreconciled items- Manage daily cash position to...