Manage the accounting, consolidation, auditing and taxation areas, carrying out activities that allow the preparation, harmonization and compliance with corporate policies;
Carrying out controlling activities, monthly reporting, drawing up budgets and medium and long-term planning;
Processing management information;
Preparing accounts consolidation processes;
Treasury management;
Carrying out financial management for projects;
Controlling and recording accounting documents and managing the working capital account, collating and classifying accounting documents.
Job Requirements and Skills Profile:Higher education in Economics, Management or Accounting;At least 5 years' professional experience in a similar role;Knowledge of SAP software;Advanced knowledge of MS Excel;Fluency in spoken and written English;Fluency in spoken and written French (preferred);Knowledge of treasury management and labour legislation;Ability to work, team spirit, planning, resilience, organisation;
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