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This role will support the company’s senior leadership with a wide range of accounting, treasury, cash flow forecasting, reporting, and finance projects while partnering closely with both leadership, global colleagues and external advisors.
Job Responsibility
Oversee day-to-day accounting activities and maintain accurate, timely financial records
Track cash balances and support short-term cash planning and treasury operations
Prepare and manage a rolling 13-week cash forecast, enhancing accuracy and process ownership
Coordinate payments and treasury administration while maintaining proper controls and documentation
Develop financial reports, dashboards, and presentations for leadership review and planning
Analyze financial and operational data to identify trends, explain results, and support decisions
Collaborate with internal stakeholders and external partners on accounting, reporting, and cash management
Support special projects and process improvements to enhance finance operations and reporting
Requirements
Bachelor’s degree in Accounting, Finance, or related field
5+ years of relevant experience, ideally starting career within public accounting
CPA highly preferred
Strong working knowledge of accounting fundamentals, reconciliations, and financial reporting practices
Advanced Excel capabilities, including the use of formulas, pivot tables, and cash tracking models
Fluency in multiple languages is highly beneficial
Nice to have
CPA highly preferred
Fluency in multiple languages is highly beneficial
What we offer
medical, vision, dental, and life and disability insurance