Beschreibung
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