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The ideal candidate will be responsible for ensuring consistent corporate financial strategy through a range of avenues such as managing and allocating accounts and financial statements. Reporting to Finance Manager.
Job Responsibility:
Performing financial reporting and consolidation procedures, presenting financial results on a monthly and a quarterly basis
Monthly reporting and financial analysis cycle: Reporting, analyzing and understanding the variances in monthly financials
Budget and Mid-term planning process: Preparing budgets/forecasts/mid-term financial statements in accordance with professional and regulatory standards, supporting the preparation of executive summaries and presentations
KPI and KRI reporting, analysis and improvement process
Collaborating with Finance Manager to gather and analyze financial information
Requirements:
Bachelor's degree in Business Administration, Economics or Finance
3-5 years of experience either in Audit or in Financial Reporting/Planning & Analysis or in Financial Controlling
IFRS expertise is a must
A quantitative and analytical business mindset is a must
Outstanding knowledge of Excel, Word and PowerPoint
Excellent written and verbal English skills and relationship-building skills
Ability to multi-task and work with cross-functional teams in harmony