Cash Management: monitoring and mapping of cash movements and monitoring / analysis of working capital at entity levelDirect support to the Controller for reconciliation of cashflow actuals with Business PlanPreparing the regular and on demand Reporting Packages in collaboration with the Accounting teamProvide direct support to the Controllers and the Head of ControllingProvide direct support to Portfolio Managers on ad hoc analysesMaster in finance, controlling or related fieldMaximum 2 years of experience in financial audit or in a finance departmentFluent in French and English