Job Description
<Job Responsibilities> - Cash management & Forecasting - Funding & Treasury operations - Banking & Stakeholder Coordination - Pricing Execution & Analysis - Validation Support & Process Improvement - Financial Reporting & Analysis - Planning, Forecasting & Process Improvement
Job Requirement
<Necessary Skill / Experience> - At least 5 years of experience in FP&A, financial analysis, or a similar role (Background in leasing, banking, or the automotive industry) - Conversational high level English to communicate with internal - Advanced Excel skills <Details> - Strong analytical and problem-solving skills - Ability to work under pressure, manage multiple tasks and meet deadlines - Proactive mindset with a track record of driving initiatives and continuous improvement <Preferable Skill/ Experience> - Experience with BI tools (Power BI) or SQL, automation tools (VBA, Power Query) - Demonstrated ability to improve processes, design systems, or automate reporting - Experience in building dashboards or management reporting packs