Our client is an international company, with finance, tax and legal headquarters in Luxembourg
| Location | Luxembourg |
|---|---|
| Contract | Full-Time |
| Company | www.wemploy.com |
| Last Update | February 26, 2018 |
Description
Job description:
- You are part of the Luxembourg Finance team and report to VP Business Operations
- Prepare treasury reports, cash flow, including weekly cash positions, currency exposure, cash forecasting
- Responsible for various banking matters, such as setting up new bank accounts for the group, reviewing bank fees, approving payments
- Support the purchasing function and relationship with several vendors and be involved in payment approval and processing
- Support the Sales function by issuing invoices to EU and non-EU customers
- Monitor inter-company group loans and balances
- Collaborate with colleagues in the global Finance team on various projects
Your profile:
- From 5 to 9 years of experience
- Degree in Finance, Accounting, Tax or Legal
- Proficiency in Accounting
- Legal / tax background - an advantage
- Fluent in English, French is a clear advantage
- Open to international travel when required
- Analytical skills, attention to detail, project management skills
Requirements
Education
| Bachelor Or Equivalent Level |
Languages
| C1 | English | |
|---|---|---|
| C1 | French |
Experience
| 5-7 Years | Treasury |
|---|
Skills
- Treasury
- Financial Analysis
- Accountancy
- Tax
- Legal
www.wemploy.com

We employ, you prosper!