Responsible for Financial Statements:
o Be accountable for the accuracy and reliability of the financial statements.
o Ensure compliance with accounting standards and timely production of financial reports.
Monthly and Annual Close:
o Calculate and record monthly entries and capitalized production.
o Prepare and own reporting (income statements, trial balances, intercompany reconciliations) in the group consolidation tool.
o Participate in internal and external audits.
Taxes:
o Prepare tax filings for various taxes (e.g., VAT, corporate tax package).
o Coordinate with our advisory firm for R&D tax credit (CIR) filings.
Payroll:
o Act as the primary contact for the payroll service provider.
o Collect, verify, and record payroll-related data (bonuses, profit-sharing, participation).
o Ensure employees are paid accurately and on time.
Treasury Management:
o Monitor cash flow.
o Serve as the main contact for banks and financial partners.
o Oversee invoicing, collections, client follow-ups, and supplier payments.
Accounting Processes and Tools Improvement:
o Improve accounting processes, procedures, and tools to enhance efficiency and compliance.
o Propose and implement continuous improvements.
Requirements
Degree in Accounting (e.g., DCG or DSCG) or equivalent
Several years of experience in a similar role
Strong communication skills and a collaborative mindset
Fluent in English (required)
Proficient with Microsoft Office
Experience with Sage is a plus
Interest in AI tools is a plus
Tech Stack
TypeScript
Benefits
Compensation package: base salary + individual bonus + semi-annual profit-sharing and employee participation (can be placed into PEE or PER)
Compensation reviews every 6 months
Up to 2 days remote work per week
25 days of paid vacation plus additional days off
CSE (employee committee), on-site company canteen, competitive health insurance, 50% public transit (Navigo) reimbursement or sustainable mobility allowance