
Join an international finance team where your expertise can make a real impact. We’re looking for someone who thrives in a collaborative, fast-paced environment and enjoys working across both accounting and analytical activities. If you’re motivated by ensuring accurate financial records, bringing clarity to complex data, and contributing to a team that’s constantly evolving and improving, this role could be a great fit for you.
Main responsibilities:
- Handle day-to-day journal postings and prepare bank reconciliations
- Perform balance sheet reconciliations and follow up on open items
- Support monthly closing tasks, including intercompany entries, FX adjustments, accruals, and fixed asset activities
- Review payroll-related data and ensure accurate posting to the GL
- Investigate period-over-period variances and provide basic commentary
- Participate in the preparation of financial statements and supporting schedules
- Manage intercompany reconciliations and eliminations
- Assist auditors by preparing documentation and responding to inquiries
- Contribute to process standardization and efficiency initiatives
- Collaborate closely with stakeholders
Required skills:
- Degree in Accounting, Finance, or a related field
- 1–3 years of accounting experience
- Strong English communication skills
- Solid understanding of general ledger processes and balance sheet reconciliation
- Familiarity with ERP systems; experience with reconciliation tools is beneficial
- Knowledge of US GAAP is an advantage
- Well-organized, accurate, and comfortable working with structured processes
- Proactive mindset, strong problem-solving skills, and a collaborative approach
- Ability to learn quickly and adapt during peak close periods
What our partner can offer to you:
- Competitive salary and attractive benefits
- Hands-on impact: shape and build finance processes from the ground up
- Global exposure
- Career growth
- Collaborative culture