| Location | Aurora, IL |
Responsible for the P&L, working capital and liquidity management for an entity with high strategic relevance.
Ensure availability and analysis of all data/information necessary for sound decision making and contribute to setting and driving the country/cluster overall strategy .
Continuously monitor the performance, evaluate risks and opportunities to ensure the country/cluster stays on track to deliver financial results, including Profit, WC and Cash.
Provide predictable plans and forecasts for the region.
Ensure all local practices in the business unit are fully in line with financial, legal, and guiding principles.
Lead preparation of OP incl. simulations with a holistic view on all aspects of the P&L, balance sheet and liquidity.
Manage local and corporate projects.
You should be proficient in:
Machines & technologies you'll use: