






You support the Finance & Accounting team in the preparation and processing of ongoing financial transactions (accounts payable, accounts receivable, and general ledger). You assist with the monthly closing process, account reconciliations, and journal entries, ensuring accuracy and compliance with internal standards. You contribute to the preparation of financial statements, reports, and analyses for management and external stakeholders. You help optimize finance processes and internal documentation, identifying potential improvements in automation and data consistency. You collaborate with internal departments and external partners (e.g. auditors, tax advisors, banks) to ensure smooth financial operations. You take ownership of recurring accounting tasks and support ad-hoc analyses or special projects as needed, depending on your experience and availability.