Description The Cash Flow Controller supports Group FP&A by forecasting, monitoring, and optimizing Free Cash Flow and Net Working Capital. The role works cross-functionally (Accounting, Tax, Treasury, Trade Finance, Industrial Controlling), contributing to risk assessment and process improvement through rigorous analysis and the proactive identification of improvement opportunities. It offers strong exposure to Group operations and stakeholders, fostering a solid understanding of internal processes and systems. - 📊 Your day-to-day activities
Cash Flow Controller
Lavazza
IT
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