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This long-term contract position offers an excellent opportunity to contribute to key financial operations and ensure the accuracy of our accounting processes. The role requires expertise in managing financial reporting, reconciliations, and cash flow forecasting, while maintaining compliance with organizational standards.
Job Responsibility:
Manage month-end close procedures, ensuring timely and accurate financial reporting
Prepare and analyze weekly internal revenue reports and forecast financial performance
Oversee reconciliation processes for accounts and banking transactions to maintain accuracy
Monitor and manage cash flow activities to optimize financial operations
Collaborate with project teams to implement accounting solutions and support financial planning
Post and review journal entries to ensure compliance with accounting principles
Maintain the general ledger by performing periodic reviews and updates
Provide insights and recommendations to improve accounting processes and controls
Assist in preparing documentation for audits and regulatory compliance
Support strategic financial initiatives and contribute to organizational goals
Requirements:
Extensive experience with month-end close processes and financial reporting
Proficiency in managing general ledger and journal entries
Strong skills in account and bank reconciliations
Ability to analyze and forecast cash flow effectively
Familiarity with accounting principles and compliance standards
Excellent attention to detail and problem-solving abilities
Proven ability to manage multiple projects and meet deadlines
Effective communication skills to collaborate with cross-functional teams
What we offer:
medical, vision, dental, and life and disability insurance