Luigi Lavazza SPA is seeking a Cash Flow Controller to join our Group FP&A; team in a fast-paced, multinational setting. The role focuses on forecasting, monitoring, and optimizing Free Cash Flow and Net Working Capital, with cross-functional collaboration across Accounting, Treasury, and Controlling.
You will lead budgeting processes, analyze variances, and deliver actionable insights to senior management while operating in a hybrid work model with a 10-day-per-month remote policy.
📌 Cash Flow Strategist — FP&A & Working Capital (Torino)
🏢 Luigi Lavazza
📍 Torino
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