Financial Accountant Analyst | English
Updated: 27 Mar 2025
Our client is a dynamic and innovative global company and they are looking for a dedicated and motivated professional to join their finance team, where you will play a key role in both accounting and treasury functions, contributing to the financial health and growth of our organization.
This position offers a unique combination of accounting and treasury responsibilities, providing a diverse and challenging opportunity to develop your professional skills and deepen your understanding of the business.
Key Responsibilities:
Accounting & Reporting:
- Manage the administration of holding companies in Workday.
- Prepare monthly reports for consolidation purposes and reconciliation of intercompany transactions.
- Handle invoicing and collection of both external and internal revenue.
Treasury:
- Consolidate, analyze, and report periodic Group cash flow and liquidity forecasts.
- Manage relationships with corporate cash management banks, including:
- Bank account administration and optimization of bank account structure and cash pooling.
- Oversee cash management activities and act as a security administrator for online banking systems.
- Serve as the primary interface between internal partners (AP, Payroll, Tax, Legal) and banks.
Qualifications:
- Bachelor’s degree in Finance.
- 4-6 years of experience in financial accounting.
- Strong knowledge and understanding of IFRS.
- Proficient in Excel; experience with Workday Finance is preferred.
- Independent, proactive, and a self-starter.
Benefits:
- Hybrid.
- 28 holidays, Pension scheme and travel allowance.
- The opportunity to work remotely for up to two weeks at a destination of your choice.
- Plenty of opportunities for personal development, training, and education.
If you live in the NL and you are Interested – Apply below or send me an email at giulia@adamsrecruitment.com