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
Job Description SummaryResponsible for finance services activities for the South Europe region. Providing strong financial planning, analysis and reporting of the financials to the Business Line Region & Head quarter as well as Grid HQ. Responsible