Job Functions
- Take ownership of the General Accounting (GL, AP & AR) of the company by ensuring proper local GAAPs
and IFRS accounting.
- Book day to day operations.
- Support the month-end and year-end close processes by preparing monthly reporting packages and
accounts reconciliations.
- Prepare timely the monthly, quarterly and annual financial statements.
- Liaise with the companies of the group related to intercompany reconciliations
- Assist and prepare Tax and VAT returns
- Perform daily cash management
- Manage intercompany cash and intercompany lending
- Prepare and maintain all relevant reporting related to cash flow activities
- Contribute actively to maintenance and development of the internal control policies and procedures.
- Assist with special projects, as needed.
Job Requirements
- Relevant degree in Accounting, Economics or Finance
- At least 7-8 years of relevant professional experience
- Proficiency in MS Office tools, especially Excel is required
- Deep knowledge of Oracle, OneStream and Kyriba is considered an asset
- Fluency in English is mandatory
- Ability to work autonomously as well as an excellent team player
- Experience in working in cross-functional and multicultural environments
- Ability to work under pressure and meet deadlines with a positive attitude