










Our Shared Service Center plays a key role in managing Accounts Receivable and Treasury operations for multiple market organizations worldwide, operating in a highly international and collaborative environment. In this role, you will support the team in ensuring compliant and accurate General Ledger processes, delivering consistent financial bookings across key areas such as Month-End and Year-End Closing (MEC/YEC), Fixed Assets, GL Master Data, Intercompany, Tax, and the maintenance of complete and reliable ledgers (Balance Sheet and P&L). You will review and maintain up‑to‑date balance sheet positions, ensuring timely and precise postings of accruals, prepayments, and provisions. You will act as a sparring partner to Finance Business Partners by connecting business decisions with accounting implications and by delivering high‑quality General Ledger services for the entities within your scope.