Description
Key Responsibilities
Group Accounting & Consolidation
- Support monthly, quarterly, and annual group closing processes under IFRS 
- Perform financial consolidation and ensure accuracy and consistency across all entities 
- Maintain group accounting guidelines and support local finance teams 
Financial Planning & Analysis (FP&A)
- Prepare and update budgets, forecasts, and variance analyses 
- Deliver financial insights to support decision-making across the organization 
- Contribute to the development of financial models and business cases 
Treasury & Cash Management
- Support liquidity planning, intercompany financing, and cash flow forecasting 
- Coordinate with banks and ensure compliance with internal treasury policies 
- Assist in optimizing cash structures and financial instruments 
Tax & Compliance
- Liaise with external tax advisors and support local and group-wide tax filings 
- Ensure compliance with tax regulations across jurisdictions 
- Support internal and external audits from a tax and accounting perspective 
IFRS & Notarial Topics
- Assist in the preparation of IFRS-compliant reports and disclosures 
- Coordinate documentation for notarial processes (e.g. corporate structure, shareholder agreements) 
IPO & Capital Market Projects
- Provide financial and reporting support for IPO readiness initiatives 
- Support due diligence processes and liaise with external advisors 
Your Profile
- Bachelor’s or Master’s degree in Finance, Accounting, Economics, or a related field 
- 3–6 years of relevant experience in Group Accounting, Audit, or Corporate Finance 
- Solid knowledge of IFRS and consolidation principles 
- Experience in Treasury and Tax is a plus 
- Strong analytical skills, attention to detail, and hands-on mentality 
- Excellent communication skills in English; German or Italian would be an asset 
- Proficiency in MS Excel; experience with consolidation or ERP tools (e.g. SAP) is an advantage 
