Financial Control Analyst, General Ledger and Cash management - Europe (PE-11276)
– Candidate will be responsible to perform Account Receivables, Cash Management and Billing Control activities and ensure due dates, policy and regulatory requirements are met
– Check daily bank statemenents.
– Preparing balance sheet reconciliations, and analysis for Control, Accounting and Working Capital purposes
– Participating in month-end-closing activities
– Supporting internal and external audit, maintaining control environment
– Control related tasks
– Home office is available in this role depending on further agreement
What you need to have:
Soft skills:
– Working with a cooperative and positive attitude in a group setting to achieve common goals
– Communicating effectively and efficiently while adapting to your audience and getting the message through as intended
– Ability to comprehend and to oversee various aspects of a problem or a situation
– Taking the responsibility and taking care of the consequences of making a decision
– Ability to find root causes of problems and to focus on their quick and efficient solution
Professional skills:
– Bachelor/Master Degree in Economics&Accounting
– At least 3 years of relevant experience in Accounting
– Strong Excel skills
– Knowledge/experience with ERP systems (i.e. Oracle) is an advantage
– Chartered Accountant/ACCA modules completed is an advantage
Language skills:
– English on a fluent level
What we offer:
– Using & improving your language knowledge
– Multinational and modern environment
– Competitive compensation package
– Good possibilities to grow within the company
– Personalized training opportunities