Found Description
For one of Protiviti's clients, a fast-growing international e-commerce organization, we are seeking an experienced FP&A Business Partner (m/v/x) with a strong focus on cash flow forecasting, liquidity management, financial planning, and advanced financial modeling.
In this high-impact interim role, you will partner closely with Finance leadership and key business stakeholders to strengthen financial visibility, improve cash forecasting accuracy, and support strategic decision-making in a dynamic, data-driven environment.
Key Responsibilities
Cash Flow Forecasting & Liquidity Management
- Own and continuously improve short-, medium-, and long-term cash flow forecasts.
- Develop robust liquidity planning models to support operational and strategic decision-making.
- Analyze cash drivers across working capital components, including ...