Our American multinational partner is a looking for a Cash & Bank Senior Financial Analyst colleague for their team for a 6-month project.
The ideal candidate should have about 3 years of general accounting experience, and fluent English knowledge.
Your tasks will be as a Cash & Bank Senior Financial Analyst:
- Manage complex processes on multiple locations and systems simultaneously
- Support month end closing processes under US-GAAP
- US GAAP Accounting & Consolidation
- Balance sheet reconciliation
- Maintain SOX control documentation
- Create and maintain process documentation (DTP)
- Support internal and external audit
- Provide information to business partners
- Ad-hoc analysis
- Coordinates Cash-Application, Payment and On-Site team members to ensure daily reconciliation of current accounts
- Process improvement & harmonization
- Recognize and report opportunities of process improvement
- Report recurring issues and form action plans for resolution
- Lead projects to drive efficiently
- Support and train colleagues
Requirements:
- 3+ years relevant experience
- Bachelor's Degree in related field (Economics, Accounting)
- Excellent verbal and written communication skills in English
- Confident user of MS Office (Excel, Word, PowerPoint)
- Solid knowledge and experience in using Oracle or SAP (FICO modules)
- Ability to establish and maintain effective work relationships with stakeholders
- US GAAP or IFRS knowledge
- Ability to manage multiple process flows simultaneously
- Continuous improvement mindset
Benefits:
- Competitive salary, compensation, and benefits package (cafeteria, yearly bonus, health insurance)
- Home office opportunity (3 days/week)
- Various professional growth opportunities
- Friendly multicultural environment and team events