Oferty
Cash Management Accountant with French
Finanse

Cash Management Accountant with French

Rodzaj pracy
Pełny etat
Doświadczenie
Specjalista/Mid
Forma zatrudnienia
UoP
Tryb pracy
Praca hybrydowa

Wymagane umiejętności

French

Finance

accounting

Mile widziane

banking industry

Opis stanowiska

Our Client is a global investment bank providing innovative financial solutions to its clients worldwide. As part of our growing team, we are looking for a dynamic and detail-oriented Cash Management Accountant with French to join our client's finance department. 

Job Description:

As a Cash Management Accountant, you will be responsible for overseeing and optimizing the bank’s cash management processes, ensuring accurate reporting, and contributing to financial operations. You will be expected to collaborate with different internal departments, external partners, and clients, particularly those based in French-speaking regions.


Key Responsibilities:

  • Perform cash and bank reconciliation, ensuring accuracy and timely reporting of cash balances
  • Manage liquidity, including cash forecasts and cash position management
  • Maintain and monitor internal controls for cash management processes
  • Prepare financial reports related to cash management activities
  • Communicate with external stakeholders, including banking partners and clients, primarily in French
  • Provide ad-hoc analysis and reporting as required by management


Requirements:

  • Bachelor's degree in Finance, Accounting, or related field
  • Proven experience (1+ years) in cash management or accounting, preferably within the financial services or banking industry
  • Proficiency in French and English (both written and spoken) is a must
  • Excellent attention to detail and analytical skills
  • Strong communication and interpersonal skills
  • Previous experience working in an international or multicultural environment is preferred


The Offer:

  • Competitive salary and benefits package
  • Opportunity for career growth and development within a global financial institution
  • Dynamic and collaborative work environment
  • Exposure to international markets and clients
  • Flexible working hours and remote work options

Sprawdź podobne oferty pracy

Główny Księgowy / Główna Księgowa

Nowa
10 000 - 14 000 pln
A1 Sorter sp. z o.o.
Chojnice
prawo podatkowe
Comarch Optima
Microsoft Office Excel
Nowa

Młodszy Specjalista ds. rozliczeń

Nowa
ALAB laboratoria
Warszawa
finanse
Microsoft Office Excel
Microsoft Office PowerPoint
Nowa

Samodzielna Księgowa / Samodzielny Księgowy

Nowa
9 000 - 10 000 pln
Gold Place Polska Sp. z o.o.
Warszawa
, Praca zdalna
Zdalnie
Bardzo dobra znajomość obsługi pakietu MS Office
Umiejętność analitycznego myślenia
3 lata doświadczenia w biurze rachunkowym
Nowa

Księgowa / Accountant

Nowa
GLC Accounting Sp. z o.o.
Warszawa
Przygotowanie sprawozdań
rachunkowość
CIT
Nowa

Księgowy/a operacyjny/a

Nowa
Gedeon Richter Polska Sp. z o.o.
Grodzisk Mazowiecki
Microsoft Office Excel
rachunkowość
podatki
Nowa