Jobomschrijving
The selected candidate will be tasked with implementing and enhancing accounting and treasury processes, with a particular emphasis on automation and optimization. They will maintain close liaison with the group’s fiscal and Financial Organisation teams to ensure the smoothness and consistency of financial operations.
Jobprofiel
**Primary Responsibilities:**
1. Framing and management of PNL and BALANCE SHEET accounts.
2. Driving the closure of the local marketplace in accordance with HUB rules.
3. Overseeing and refining the profit split process, including coordination with the group's fiscal team to guarantee its ongoing consistency.
4. Enhancing and automating accounting flows in collaboration with the group’s OFI.
5. Implementing additional controls to ensure the fluidity of treasury flows, cash movement control between D4 and PSP, and treasury flow optimization.
6. Assisting local teams with partner payments and unlocking blocked invoices.
7. Proactive management of treasury flows and optimization of currency exchange operations.
8. Developing scalable solutions to automate existing manual tasks.
**Skills and Talents required:**
- Degree in accounting or related field.
- Experience in European taxation, especially VAT.
- Proven project management skills, particularly in accounting process automation.
- Deep understanding of the digital sector.
- Experience in treasury and foreign exchange operations.
- Initiative, teamwork capability, and adeptness at solving complex issues.
- Ability to work in a dynamic and ever-evolving environment.