**Accountant Position Summary**
">A highly skilled Accountant is required to join our team. The successful candidate will be responsible for managing and reconciling daily banking transactions across multiple banks and entities, as well as preparing timely and accurate bank reconciliations and cash flow reports.
**Key Responsibilities:**
* Manage FX conversions and cross-border payments.
* Maintain accurate records of treasury transactions and support audit processes.
* Work closely with the AP and Financial Control to manage cash positions and support liquidity planning.
* Preparation of Monthly and Annual Budgets
* Ensure treasury operations are compliant with internal controls and external regulatory requirements.
* Responsibility for the Preparation of VAT/VIES/INTRASTAT returns across various group companies
* Support Monthly and Annual Close Process
* Ensure timely preparation of Balance Sheet Reconciliations each month.
**Requirements:**
* Qualified Accountant with 3+ years of accounting and treasury experience
* Strong experience with multi-bank, multi-currency environments
* Strong analytical and reporting skills; advanced Excel proficiency.
* High attention to detail and ownership mindset.
* Be a team player and assist the wider teams if and when they need support
* The ability to effectively project manage a number of assignments simultaneously and to follow up on outstanding queries and issues with clients and government bodies
* The ability to deal internally with all departments involved in your particular cases to ensure efficiency's in work flows which will require excellent interpersonal, teamwork and communication skills
**Benefits:**
* Competitive salary
* Pension
* Family health insurance
* Active sports and social club
* Onsite gym
**Additional Information:
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