About the Role
The role involves assisting with financial processes including bookkeeping, reporting, and compliance, while collaborating with teams across Europe to ensure timely and accurate financial data management.
Responsibilities
- Maintain accurate financial records and general ledger entries
- Assist in monthly and quarterly financial closing activities
- Support preparation of financial statements and reports
- Reconcile bank statements and internal accounts regularly
- Process invoices, payments, and expense claims
- Ensure compliance with local tax and accounting regulations
- Collaborate with auditors during internal and external audits
- Monitor financial transactions for discrepancies or errors
- Provide data analysis for budgeting and forecasting tasks
- Assist in implementing financial controls and process improvements
- Coordinate with cross-functional teams on financial queries
- Track and report on key financial metrics
- Manage documentation for financial transactions
- Support payroll processing where applicable
- Handle intercompany transaction records
- Maintain up-to-date knowledge of accounting standards
- Assist in preparing regulatory filings
- Ensure data integrity across financial systems
- Respond to internal stakeholder requests for financial data
- Contribute to ad hoc financial projects as needed
Compensation
Competitive salary based on experience
Work Arrangement
Remote within Europe
Team
Part of the finance team supporting European operations
Why Join Us
- Opportunity to work in a growing financial services environment with a supportive team
- Flexible remote working conditions within Europe
- Exposure to diverse financial operations across multiple jurisdictions
What We Offer
- Competitive compensation package
- Remote-first culture with flexible hours
- Professional development and growth opportunities
- Regular feedback and performance reviews
Not applicable