Senior Finance Manager - Cash Flow and Working Capital (m/f/d)
- Full-time
Company Description
We’re the world’s leading sports technology company, at the intersection between sports, media, and betting. More than 1,700 sports federations, media outlets, betting operators, and consumer platforms across 120 countries rely on our know-how and technology to boost their business.
Job Description
As part of the Global FP&A and Data Office team you will be responsible for the budgeting, reporting and forecast of group cash flows as well as driving operational improvements in working capital management. As a direct report to the Group Head of FP&A you will engage with various leaders of the finance community as well as senior management implementing tools and processes and driving more focus around improving cash conversion.
Responsibilities:
- Lead cash flow budgeting, forecasting and monthly/quarterly reporting cycles
- Work with Investor Relations and CFO to develop external communication around cash flow and related improvement initiatives
- Implement cash flow reporting in our MS OneStream and QlickSense environment
- Develop insightful analysis and reporting on cash flow dynamics including the operational drives or AR and AP
- Drive improvements in the credit and collection process
- Partner with Sales / Sales Operations to fix root causes of delayed billing and delayed collection
- Partner with Sales / Sales Operations / Billing to improve cash cycles (Receivable turns) through different revenue models and contract terms
- Improve measurement and accountability for operational cash flow drivers; help evolve existing incentive schemes and decision making processes based on insightful analysis
- Work with Treasury to identify and accurately forecast key cash outflows
- Continuously improve cash forecasting leveraging both indirect and direct cash flow methods
- In depth understanding of all components of cash flow including financing and investing flows
Requirements:
- Minimum 7 years experience in financial analysis and/or financial management in multinational environment
- Previous experience with cash flow statement analysis and/or working capital management and optimization
- Proven track record of stakeholder management at senior executive level
- Experience with OTC (order to cash) and PTP (Procure to Pay) cycle operations and strategy
- Fluent level of English, German language would be a plus
The minimum monthly salary for this position is according to Collective Bargaining Agreement, over payment will be considered depending on qualifications and working experience.
Buckle up, hold on tight and get ready for an incredible adrenaline-rush throughout this exciting ride with us: #maketheteam and shape your future as well as ours!
Sportradar is an Equal Opportunity Employer. We are committed to encourage diversity within our teams. All qualified applicants will receive consideration without regard to among other things, your background, status, or personal preferences.
Additional Information
Sportradar is an Equal Opportunity Employer. We are committed to encourage diversity within our teams. All qualified applicants will receive consideration without regard to among other things, your background, status, or personal preferences
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