Finance Partner – Cash & Net Result
Orange Business · Bratislava
Job description
About the role
Orange Business is looking for a Finance Partner to lead cash flow and net‑result management for its division. You will work closely with Group Finance, controlling, operational and tax teams to ensure accurate financial reporting and support strategic decisions.
Key responsibilities
- Manage the organic cash flow of Orange Business, including budgeting, strategic planning and forecasting.
- Analyse the division’s net result and provide insights for improvement.
- Identify, support and monitor action plans to enhance cash flow, with a focus on working‑capital requirements (customers, suppliers, inventories).
- Develop and maintain cash‑flow dashboards for Group and Orange Business, ensuring key indicators are accurate.
- Present reports and analyses to Group Controlling and Orange Business Finance teams, delivering actionable recommendations.
Required profile
- Master’s degree (engineering school, business school or university) with a finance/accounting specialization.
- At least 15 years of experience in controlling, preferably in an international environment.
- Strong knowledge of controlling processes, cash management and financial analysis.
Required skills
- Solid understanding of finance information systems and their interactions.
- Proficiency with reporting tools such as EPM, Excel and PowerPoint.
- Fluent English (spoken and written); French is a plus.
- Ability to work cross‑functionally, strong analytical mindset and attention to detail.
What we offer
- Global opportunities to collaborate with multinational teams.
- Hybrid working model with flexible hours.
- Training, up‑skilling and internal mobility programs.
- Health, well‑being and diversity initiatives.
- Competitive base salary starting from €1,700 gross per month, with additional benefits.
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Published pred 4 týždňami
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Orange Business
Bratislava
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