Senior FP&A W/M

Europcar

  • Paris
  • CDI
  • Temps-plein
  • Il y a 5 jours
Company DescriptionAbout Europcar Mobility GroupEuropcar Mobility Group is a major player in mobility markets.Its purpose is to offer attractive alternatives to vehicle ownership, in a responsible and sustainable manner. With this in mind, the Group offers a wide range of car and van rental services - be it for a few hours, a few days, a week, a month or more - with a fleet that is already "C02 light", equipped with the latest engines, and which will be increasingly "green" in the years to come (more than 1/3 electric and hybrid vehicles by 2023).Customers' satisfaction is at the heart of the Group's ambition and that of its employees. It also fuels the ongoing development of new offerings in the Group's three service lines - Professional, Leisure and Proximity - which respond to the specific needs and use cases of both businesses and individuals.The Group's major brands are:
  • Europcar® - he European leader of car rental and light commercial vehicle rental,
  • Goldcar® - the low-cost car rental Leader in Europe,
  • Ubeeqo® - one of the European leaders of round-trip car-sharing (BtoB, BtoC).
Its mobility solutions worldwide through an extensive network in over 140 countries (including wholly owned subsidiaries - 18 in Europe, 1 in the USA, 2 in Australia and New Zealand - completed by franchises and partners).Further details available at:Job DescriptionMain objectives:Driving Group cash flow generationSeeking for the optimization of the main cash driversBeing insightful and identifying R&O by analyzing Cash & Balance sheet (Actual, Forecast and Budget)Building balance sheet review processMAJOR AREAS OF ACCOUNTABILITYCash management :Supervise all cash reporting processes with group treasury team (Actual, Forecasts, Budget)Ensure timely and accurate reporting to top management regarding cash position and financial performanceAnalyze cash main drivers and elaborate action plans to optimize cash generationBalance sheet review :Act as an expert concerning Balance sheet topics including but not limited to Non Fleet Working Capital (NFWC), provisions, rental fleet, net debt, etc., providing expertise from both operational and business perspectivesCreate analysis files and implement a systematic process for the reporting and review of the balance sheetMonitor the financing and debt position on the balance sheet while overseeing and managing the associated interest income and expenses reflected in the Profit and Loss statementProvide comprehensive insights into the financial performance by conducting in-depth analyses of balance sheet accounts.Training :Develop and train on cash forecast methodology to support strategic planning and decision-makingDevelop training documentation and conduct training sessions for juniorsINTERNAL AND EXTERNAL RELATIONSHIPSCentral finance team (especially with Treasury and Consolidation)QualificationsPERSONAL PROFILE OF POSITION HOLDERPrevious experiences:At least 5 years in Finance Controlling, Finance Planning & Analysis or Audit or a similar positionEducation level:Master degreeLanguages:Fluent English, French is a plusAny other is valuedComputer skills:Masters Excel and PowerpointKnowledge of SAP Finance Consolidation is valuedKnowledge of BI (Qliksense) and Anaplan is valuedPersonal characteristics:Extensive knowledge about finance;Strong analytical skills;Excellent communication and interpersonal skills to for effective collaboration across departments;Highly organized and structured, knowing exactly who to contact and what information to share;Reliable: Following through on commitments, producing timely work to required - or higher - standards, and pitching in to get the job done;Ability to work in a dynamic environment

Europcar