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General Ledger Management Maintain and reconcile general ledger accounts, ensuring accuracy and completeness of data in the accounting system. Serve as a key contributor in the month-end and year-end close processes, including preparation of journal entries for lease accounting, accruals, prepaids, and capitalized software. Validate correct posting of entries through account reconciliation and report preparation. Record payroll and related accruals in the general ledger; reconcile related accounts. Review account coding for accuracy and completeness relative to budget. Financial Reporting Prepare and analyze monthly, quarterly, and annual financial statements, providing timely insights into the financial condition of the company. Monitor and analyze operating results; investigate and clearly communicate variances. Prepare, maintain, analyze, and report key SaaS performance metrics, such as software go-lives and ARR Assist in preparation of the monthly financial package and help ensure all reporting deadlines are met. Account Reconciliation Prepare regular balance sheet account reconciliations, including daily bank statement reconciliations. Reconcile subledgers to general ledger balances and resolve discrepancies through thorough analysis. Year-End Financial Statement Audit Coordinate with external auditors on the annual financial statement audit, including preparation of financial statements, footnotes, and audit schedules. Respond to auditor inquiries and ensure compliance with US GAAP reporting requirements throughout the audit process. Other Build collaborative relationships with internal stakeholders across functions, contributing to the accuracy and integrity of financial processes. Incorporate AI into everyday workflow to obtain efficiency, insights, and improved quality Other duties as assigned.
Job Responsibility
Maintain and reconcile general ledger accounts, ensuring accuracy and completeness of data in the accounting system
Serve as a key contributor in the month-end and year-end close processes, including preparation of journal entries for lease accounting, accruals, prepaids, and capitalized software
Validate correct posting of entries through account reconciliation and report preparation
Record payroll and related accruals in the general ledger
reconcile related accounts
Review account coding for accuracy and completeness relative to budget
Prepare and analyze monthly, quarterly, and annual financial statements, providing timely insights into the financial condition of the company
Monitor and analyze operating results
investigate and clearly communicate variances
Prepare, maintain, analyze, and report key SaaS performance metrics, such as software go-lives and ARR
Assist in preparation of the monthly financial package and help ensure all reporting deadlines are met
Prepare regular balance sheet account reconciliations, including daily bank statement reconciliations
Reconcile subledgers to general ledger balances and resolve discrepancies through thorough analysis
Coordinate with external auditors on the annual financial statement audit, including preparation of financial statements, footnotes, and audit schedules
Respond to auditor inquiries and ensure compliance with US GAAP reporting requirements throughout the audit process
Build collaborative relationships with internal stakeholders across functions, contributing to the accuracy and integrity of financial processes
Incorporate AI into everyday workflow to obtain efficiency, insights, and improved quality