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Lead financial support for capital raising activities, including both debt and equity initiatives, by preparing analyses, materials, and decision support
Contribute to acquisition efforts by assisting with financial due diligence, valuation review, and post-transaction finance coordination for buy-side opportunities
Evaluate treasury operations and identify ways to improve accounts receivable and accounts payable processes, reporting accuracy, and working capital performance
Prepare and maintain recurring cash visibility tools, including bi-weekly cash updates and 13-week cash flow forecasts, to support planning and liquidity management
Review disbursements and provide oversight for payment approval activities in alignment with financial controls and business priorities
Produce timely weekly, monthly, and quarterly financial reporting packages for leadership, highlighting performance trends and key variances
Support the annual budgeting cycle beginning in July by coordinating planning inputs, consolidating financial data, and tracking progress against targets
Provide financial systems support on an as-needed basis to help resolve reporting and process-related issues that affect finance operations
Requirements
Demonstrated experience leading or supporting annual budgeting and broader budget planning processes
Strong background in financial reporting, including preparation of weekly, monthly, and quarterly management reports
Hands-on expertise in cash flow forecasting, liquidity planning, and short-term cash management
Knowledge of debt and equity financing activities, with the ability to support fundraising analysis and execution
Experience contributing to mergers and acquisitions, including diligence, valuation support, and finance integration activities
Solid understanding of corporate treasury functions, including payment oversight and working capital management
Familiarity with month-end close processes and the financial discipline required to support accurate reporting
Ability to manage multiple priorities in a fast-paced environment while delivering clear, reliable financial insight