Finance & Operations Cash Manager
Pernod Ricard(4 days ago)
About this role
The Finance & Operations Cash Manager at Irish Distillers oversees cash management, treasury operations, reporting, forecasting, and cash optimization initiatives. The role involves managing banking relationships, ensuring financial controls, and supporting strategic cash planning within a global spirits company.
Required Skills
- Cash Management
- Treasury Operations
- Cash Forecasting
- Financial Reporting
- Stakeholder Management
- Excel
- SAP
- Financial Controls
- Working Capital
- Forecasting
About Pernod Ricard
pernod-ricard.comA global leader in wine and spirits, we are 18,500 employees worldwide, respectful and responsible hosts, committed to nurturing every terroir.
View more jobs at Pernod Ricard →Apply instantly with AI
Let ApplyBlast auto-apply to jobs like this for you. Save hours on applications and land your dream job faster.
More jobs at Pernod Ricard
Global Learning Apprenticeships (2 roles) – Pernod Ricard HQ – Paris – as of September 2026 – 1 year
Pernod Ricard(2 days ago)
Alternance Trésorerie – Pernod Ricard France – Marseille – 1 an – à partir de sept-oct. 2026
Pernod Ricard(2 days ago)
Stage – Communication interne – Pernod Ricard France – Marseille – durée : 6 mois - Démarrage : 27 août 2026
Pernod Ricard(2 days ago)
Alternance - Chargé.e d'affaires BtoB
Pernod Ricard(2 days ago)
Similar Jobs
Treasury Cash Forecasting Team Member
Intersect(1 month ago)
RTR Cash Management Analyst
Aptiv(2 months ago)
Treasury Operations Manager
CCM CrossCountry Mortgage, LLC(1 month ago)
Manufacturing Finance Leader - West
Momentive(2 months ago)
Analyst, Treasury - Mobility
S&P Global(8 days ago)
Manager, Cash Forecasting & Treasury Accounting
Bracco(2 months ago)