Monitoring and mapping of cash movements and working capital;Direct support to the Controller for reconciliation of cashflow actuals with Business Plan;Preparing the regular and on-demand Reporting Packages in collaboration with the Accounting team;Providing support on the Valuation review process;Provide direct support to Portfolio Managers on ad-hoc analysesDiploma in Finance or equivalentAt least 1 year of experience in financial auditFluent French and EnglishYou will join a growing company and be part of a team with strong team spirit and great ambience.
Moreover, you will have the opportunity to learn and grow within the team and have a versatile role.