Job Description
Hello, we're L'Oréal. We're not just building brands, we're shaping how the world experiences beauty (and it takes a lot of cool jobs to do it). Intrigued? Keep reading, this might be the opportunity you've been searching for.
A Day in the Life
As the FP&A - Treasury Coordinator for L'Oréal LATAM, you will be at the heart of our financial strategy, ensuring the liquidity and efficiency of our operations across the region. Your mission is to optimize cash flow and manage financial resources through predictive analysis, budgetary control, and strategic risk management. You will act as a key partner to the business, transforming data into actionable insights for senior leadership.
Your Primary Responsibilities Will Include
Cash Flow Forecasting & Analysis: You will develop and consolidate weekly, monthly, and annual cash flow projections, analyzing variances to identify root causes and improve forecast accuracy.
Working Capital Management: Monitor key performance indicators...
A Day in the Life
As the FP&A - Treasury Coordinator for L'Oréal LATAM, you will be at the heart of our financial strategy, ensuring the liquidity and efficiency of our operations across the region. Your mission is to optimize cash flow and manage financial resources through predictive analysis, budgetary control, and strategic risk management. You will act as a key partner to the business, transforming data into actionable insights for senior leadership.
Your Primary Responsibilities Will Include
Cash Flow Forecasting & Analysis: You will develop and consolidate weekly, monthly, and annual cash flow projections, analyzing variances to identify root causes and improve forecast accuracy.
Working Capital Management: Monitor key performance indicators...
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