Finance Manager / Head of Controlling & Cash

Plný úväzok
Paris
Niekoľko dní doma
Plat: 70K až 80K €
Dátum nástupu: 15. marca 2026
skúsenosti: > 10 rokov
Vzdelanie: Magisterský stupeň vzdelania

Rail Europe
Rail Europe

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Popis pracovnej ponuky

💡 Why Join Us

  • Play a central role in securing Rail Europe’s financial performance and cash position in an international, multi-entity environment

  • Act as a Finance Business Partner at the core of decision-making, supporting departments and interacting with management and shareholders

  • Work in a fast-moving organisation where finance actively supports business development and protects the company

  • Operate in a complex context combining controlling, reporting and group cash management

  • Have a direct and tangible impact on performance, cash security and long-term value creation

🛠️ What You’ll Do

Controlling - Financial & Operational Performance

  • Act as the financial reference for operational and business teams

  • Analyse and explain the company’s monthly financial figures in close interaction with departments

  • Control and ensure the reliability of all P&L (OPEX & CAPEX)

  • Anticipate the company’s financial and operational performance, including cash-flow impact

  • Monitor general costs and support departments in defining corrective actions

  • Contribute to the definition and follow-up of performance improvement and action plans

Reporting, Budget & Forecast

  • Produce and analyse the financial components of Boards and management committees

  • Produce monthly financial reporting in coordination with all departments

  • Participate in monthly closings in close collaboration with accounting teams

  • Produce and drive budget, reforecast and financial planning processes

  • Coordinate subsidiaries on reporting, forecasts and financial follow-up

Group Cash Management

  • Oversee Group cash management in a complex, international, multi-entity and multi-currency environment

  • Ensure a secure and sufficient cash position for the business

  • Manage and support the Cash Manager

  • Analyse variances versus objectives

  • Contribute to the optimisation of cash flows, including bank fees, FX and payment processes


Preferované skúsenosti

🔍 What You Bring

  • Master’s degree in Finance, Accounting or Business School background
    8–10 years of total experience in senior finance roles

  • Minimum 5 years of hands-on experience in controlling

  • Experience working in fast-moving or agile organisations

  • Proven ability to quickly take ownership of new financial topics

  • Strong prioritisation and autonomy in day-to-day work

  • Experience working in international and multi-entity environments

  • Excellent command of financial tools (Excel, Office, ERP data extractions)

  • Ability to communicate clearly with non-finance stakeholders

  • Leadership experience with first-line management responsibility

  • Prior exposure to cash management topics in complex environments is a plus, but not required


Náborový proces

  1. HR screening: Talent Acquisition Specialist: Motivation, role understanding and seniority fit.

  2. Interview with the Head of Controlling & Cash: Controlling fundamentals and ways of working, with a short practical Excel exercise.

  3. Interview with the CFO: Financial judgment, business understanding and cash topics.

  4. Cultural fit interview with the CPO: Values, collaboration and mindset.

  5. Team meeting: Informal discussion to confirm mutual fit.

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