Opportunity Description
Treasury and Controlling Specialist
We are looking for a Treasury and Controlling Specialist who’s responsible for keeping a tight control on the P&L and cash/debt evolution and projections of the different companies in the group.
What your day-to-day will look like
- Gather and organize all the different pieces of information coming from the different sources in the group (General Managers, Accountants, CFO) and update the cash/debt and Balance Sheet / P&L files accordingly.
- Support the accounting team in managing book entries in our ERP.
- Modelling different scenarios on the cash projections in our cash management tool.
- Help the Head of FP&A maintain the Long Range Plans.
- Summarizing and reporting the sensitive issues and significant risks found during the recurrent updates.
- Keep tight control on the evolution of the significant items that affect the cash projections of the company.
- Preparing the r...
Ready to Apply?
Submit your application for Treasury and Controlling Specialist at Immfly
Apply for this Position