Description
Manage monthly process (e.g. accounts clearing, intercompany reconciliation, creation of fixed assets…) Create ad hoc and recurring reports, incl. statistic reports and monthly/ annual reporting package Manage bank statements Create short-term liquidity forecast Complete period end closing activities
Requirements
1-3 years of experience in accounting College degree in Business Administration or equivalent Accounting qualification Working experience with SAP FI Advanced knowledge of MS office tools (MS Outlook and Excel) Language skills: fluent in English Communication skills and cooperative mindset and high level of accountability and accuracy
Offer
Direct contract with our client Competitive salary + meal allowance + performance bonus Hybrid model work from home/office - Alvalade, Lisbon Flexible schedules between Monday - Friday Five extra days off Being part of an innovative team, in a high-tech environment