Role summary
We're looking for a detail-focused, tech-forward individual to join our team. Your primary responsibility will be to manage and document financial processes across various locations and systems. You'll also collaborate with other teams to handle daily account reconciliations, assist in month-end closures, support audits, create reports, and drive process improvements.
As a Cash & Bank Analyst you will be responsible to ensure daily reconciliation of current accounts, work together with Cash-Application, Payment and On-Site team and support month end closing processes under US GAAP.
Your role
Manage and document financial processes globally
Work with other teams to reconcile accounts daily
Assist in month-end closures under US GAAP
Support internal and external audits
Help create reports and conduct analysis
Improve processes and harmonize operations
Your profile
0-1 year of relevant experience, fresh graduates welcome
Bachelor's degree in a related field
Excellent English communication skills
Ability to build and maintain strong relationships
Proficient in MS Excel, Outlook, and other office software
Strong analytical, research, and problem-solving skills
Positive, supportive attitude
Preferred Experience / Skills
Working knowledge of IFRS or US GAAP and SOX regulations
Experience with structured ERP, Oracle or SAP and consolidated reporting systems
What we offer
Friendly multicultural environment and team events
Life, accident and health insurance
Cafeteria Package
Career development and training opportunity
There is an opportunity for home office (3 days a week)
Join our dynamic team for an exciting opportunity to grow in a supportive, global environment. Apply now!