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
Description We are seeking a Commercial Controller to join our Finance department supporting the CEMEA & EE markets; they will be responsible for supporting the management of controlling processes within the organization and alignment of overall business targets,