Own the day to day financial operations of our French and international perimeter
Work closely with the finance team and report directly to the CFO
Oversee the production of the monthly consolidated reporting (P&L, balance sheet, cash flow)
Manage all accounting operations for the group including billing, A/R, A/P, G/L, revenue recognition, group consolidation, and intercompany transactions
Coordinate the auditors work and act as the primary contact
Contribute to due diligence, refinancing, or exit processes as required
Requirements
5 to 8+ years of relevant experience
Structured technical grounding in accounting and controls through audit, transaction services or equivalent industry experience
Similar role in a multi-entity group, LBO, or SaaS environment
Fluent in French & English
Strong interest in automation and modern finance tooling with AI
Comfortable with autonomy in a high-growth environment, able to work both strategically and hands-on
Deep knowledge of financial regulations, accounting principles, and compliance standards
Prior ERP implementation (Netsuite, Sage100, etc.) is a plus
Strong interpersonal and communication skills, with the ability to collaborate across teams