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Welocalize

Financial Accountant

Posted 4 hours ago
2-5 years experience
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AI Summary

The Financial Accountant will manage account reconciliations, cash and treasury operations, and tax filings for multiple European legal entities. They will also support the GL, AR, and AP teams while ensuring accurate financial reporting and regulatory compliance.

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Job Responsibilities:

This position will primarily be focused on Account Reconciliations, cash and treasury management. Additional responsibilities include tax filings and payments and supporting the GL, AR and AP teams. In addition to researching and resolving discrepancies as assigned. This position would work closely with the accounting team to assure all duties is completed timely and accurately.

Job Title:       Financial Accountant
Reports To:    Controller – Europe Central

We are looking for a Financial Accountant to join our multinational, multi-currency European Finance team. Candidate must be a self-starter, organised and flexible. Have excellent interpersonal skills, ability to prioritise with a strong focus on quality, team work and adherence to global deadlines. Excellent written and verbal English communication skills are essential.

The position is open to newly qualified / experienced candidates.

 

Main Responsibilities:

The following is a non-exhaustive list of responsibilities and areas of ownership of the Accountant:

  • Strong Financial Accounting knowledge with robust experience in preparing monthly financial statements as this position will own the entire financial reporting cycle for multiple European legal entities
  • Revenue and regulatory filings, both US Gaap and local statutory
  • Management of outsource payroll providers, local payroll and employer taxes reporting monthly
  • Global Transfer Pricing, working with external providers to produce annual TP documentation per country within the organisation
  • Provision of data for multi-currency weekly, monthly and forecast working capital requirements
  • Preparation and analysis of TB and Financial Statements
    • Detailed review of TB
    • Monthly reporting requirements
    • Knowledge of IFRS / FRS102
    • Budget to Actual analysis
  • Assistance in the preparation of audit and corporation taxations requirements and liaison with team leads
  • Ad hoc projects 

 

REQUIREMENTS

  • Proficiency in Workday would be an advantage, proficient MS Excel skills (use of pivot tables, excellent knowledge of formulas) is essential.
  • Knowledge, understanding and application of EU VAT regulation and reporting
  • Accounting qualification – newly qualified or experienced with 2-3 years of working in similar environment
  • Ability to work remotely, depending on location this role could be 100% remote
  • Qualified Accountant
  • Proven track of experience in Accounts roles/functions
  • Transfer pricing knowledge
  • Committed, flexible and enthusiastic, team player
  • Ability to take initiative

 

Additional Job Details:

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