You supervise a team of two accountants and one management controller and are accountable for all financial reporting produced by the entities within your area of responsibility.
You oversee quarterly financial reporting and report data to the Group according to the prescribed formats and timetable.
You ensure the application and compliance of Group management processes and rules within the subsidiary.
You are responsible for the budgeting process, including preparing an annual budget and forecasts.
You prepare for and participate in quarterly business reviews.
You implement a process for producing cash flow forecasts and ensure they are updated on a monthly basis.
You take part in all projects affecting financial data, such as the deployment of a P2P (procure-to-pay) tool.
You produce and analyze the KPIs requested by the Group.
You support the professional development and skills growth of your team.
Requirements
Master’s degree in finance/accounting (e.g., Master CCA, business school)
7 to 10 years’ experience, ideally within an SME
Strong aptitude for data structuring
Enjoys hands-on operational work
Motivated, detail-oriented, proactive, driven, with a strong sense of responsibility
Ability to travel regularly to Paris
Tech Stack
Go
Benefits
Meal vouchers: €8.80 per working day
Comprehensive multi-service family health insurance (mutuelle)
One day of remote work per week allowed
Attractive company savings plan (for €1,000 invested, €3,000 contributed by the company)
Multiple company and Group events (seminars, Christmas dinner, team meals, etc.)