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This is a hands-on role well suited for an experienced accounting professional who enjoys ownership, problem-solving, and collaboration across the business. Work life balance is good here and so are the benefits. This position offers broad exposure across accounting and finance, opportunities to partner with multiple teams, and the ability to make a meaningful impact on financial accuracy and process improvement.
Job Responsibility:
Help prepare and review monthly financial results in accordance with applicable accounting standards and internal policies
Own key components of the month-end and year-end close processes, including journal entries, accruals, and balance sheet reconciliations
Maintain and reconcile general ledger accounts, ensuring accuracy and timely resolution of discrepancies
Analyze cost-related data and financial variances to support accurate reporting and informed decision-making
Review vendor activity and account balances to ensure proper classification and accuracy
Monitor financial trends and performance, providing insights and analysis to support planning and management decisions
Assist with budgeting, forecasting, and ad hoc financial analysis as needed
Collaborate with cross-functional teams to improve financial processes, controls, and data integrity
Identify opportunities to streamline workflows, strengthen internal controls, and enhance overall efficiency
Perform additional duties and special projects as assigned
Requirements:
Bachelor's degree in accounting or equivalent
Exceptional organizational skills and attention to detail
Effective communication skills for collaboration across departments