At METLEN Energy & Metals, we are catalysts for a sustainable future, positioned at the forefront of the energy transition while being a reference point for competitive green metallurgy at both the European and global levels. We are a global industrial and energy company operating across two highly interconnected and complementary sectors: Energy and Metals. With a consolidated turnover of €5,683 million and an EBITDA of €1,080 million, along with a workforce of over 7,627 dedicated individuals, we drive success through cutting-edge technology and diverse talent.
We are committed to embracing new state-of-the-art technologies and advancements, propelling us towards a cleaner, brighter tomorrow. Our positive footprint extends across five continents, creating a lasting impact. At METLEN, we foster a culture of resilience, challenge, respect, excellence, and change, empowering our diverse workforce to achieve remarkable outcomes.
We are currently looking for a Cash Flow Controller to join our team within the Finance Division.
By joining this role, you’ll play a vital role in our company’s efforts to ensure robust cash flow governance and strengthening financial visibility across METLEN’s operations.
Your role will encompass:
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Prepare and deliver cash flow recording activities (actuals and forecasts) to ensure accurate, timely, and complete segmental cash flow analysis across the Finance Division.
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Monitor the reconciliation of cash flows with P&L items, ensuring consistency and alignment on a monthly and annual basis.
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Contribute to budgeting, financial planning and broader corporate finance initiatives.
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Create and explain cash flow gap and variation analyses, highlighting key drivers and deviations.
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Maintain and monitor compliance with internal payment procedures, ensuring adherence to established financial controls.
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Collaborating closely with Business Operations and Treasury to secure accurate information flow and support integrated financial processes.
What you bring to the role:
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Bachelor’s degree in Finance, Accounting, Economics, or related fields; a Master’s degree is considered an advantage.
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4+ years of experience of experience in a cash flow or financial controlling role.
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Fluency in English.
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Experience with ERP systems, preferably SAP.
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Excellent working knowledge of MS Office, especially Excel.
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Strong communication, interpersonal, and negotiation skills.
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Strong numerical, analytical, and problem‑solving abilities.
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Team spirit, self‑drive, and a results‑oriented mindset.
Share the same Value Based Behaviors:
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People & Personal growth
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Results orientation & Safety excellence
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Collaboration & Trust
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Empathy & Effective communication
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Flexibility & Adaptability
Your Benefits:
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Competitive remuneration package
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Ticket Restaurant Card
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Group Health Insurance Plan
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Preferential household electricity plan
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Pension Plan