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This is a long-term contract position offering an excellent opportunity to contribute to essential financial operations while working in a dynamic and collaborative environment.
Job Responsibility:
Perform balance sheet and bank reconciliations and ensure the accuracy of liabilities and intercompany transactions
Maintain detailed financial records and oversee fixed assets, including depreciation calculations
Manage monthly sales tax reconciliations
Prepare and process weekly expense reports
Ensure compliance with audit requirements and accounting standards
Collaborate with team members to address additional responsibilities as needed
Requirements:
Bachelor’s degree in Accounting or a related field, or equivalent experience combining education and training
Minimum of two years of experience in reconciling balance sheet accounts
Proficiency in SAP and other accounting software tools
Strong knowledge of sales tax, journal entries, and general ledger processes
Experience with accounts payable and accounts receivable functions
Ability to reconcile credit card statements and manage expense reports
Excellent attention to detail and organizational skills
Effective communication abilities to work collaboratively in a team setting