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Calculatrice

Accountant (m/f)

Calculatrice, Palo Alto, California, United States, 94306

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Responsibilities

Provide full-cycle accounting support for a number of the Group’s companies, ensuring compliance with the Chart of Accounts and guidelines in Luxembourg and the network, along with appropriate supporting documentation.

Implement internal controls based on internal and external audit findings.

Ensure accurate and timely monthly reporting.

Reconcile monthly intercompany transactions, follow up on overdue items, and address business queries.

Assist with intercompany loan-related topics including interest and foreign exchange.

Follow up on loan portfolio reconciliation and documentation with the Treasury team.

Collaborate with the Treasury team on cash flow monitoring, short-term liquidity planning and cash forecasting.

Conduct balance sheet reconciliations and oversee intra-Lux transactions.

Ensure accurate and timely local and legal reporting, on a monthly, quarterly or ad hoc basis.

Assist in preparing the statutory annual financial statements, including notes to the accounts.

Handle ad hoc requests from the Group Service Centre Accounting and Controlling team.

Address ad hoc requests from other teams related to compliance, treasury, legal, or from specific financial directors.

Regularly conduct inventories of various intercompany agreements and physical assets, and reconcile the findings with the accounting records.

Assist in defining and improving accounting and finance processes and written procedures.

Manage the accounting and finance integration of new Eurofins companies.

Contribute to system improvements for the Treasury Management System and other tools, and process automation and digitalization initiatives in collaboration with IT and finance teams.

Perform financial analysis to support decision-making and act as a business partner for Treasury and Controlling teams on specific technical topics.

Profile

Degree educated in Finance or Accounting

Minimum of 3 years of relevant working experience in a similar position, ideally in an international environment

Fluency in French and English is required – any other language(s) will be a plus

Ability to collaborate with cross-functional teams (Treasury, Controlling, IT, Legal).

Experience or strong interest in cash management or treasury-related topics is a plus.

Detail-oriented, organized, rigorous

Team player and proactive

Excellent presentation and professional approach

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