Join our team as a Finance Professional in Luxembourg.
Main Responsibilities
* Closing process for month-end, quarter-end and year-end.
* Monthly financial statement reconciliation and group reporting.
* Financial control and cost management.
* Inventory valuation process.
* WIP movement control.
* Capex follow-up (investment plan monitoring and monthly reporting).
* Standard Costing management (annual calculations and monthly variances).
* Provide accurate and timely financial information.
* Maintain strong internal controls by developing documenting and updating business processes and accounting policies.
* Prepare budgets, forecasts and report of variances.
Requirements
* Degree in Accounting or Finance.
* VAT experience is an advantage.
* Flexibility, autonomy and high level of responsibility.
* Fluent in English; German, Luxemburgish and/or French are advantages.
* Good communication skills.
* Structured and conscientious way of working.
* ERP, BI and Excel experience are advantages.
What We Offer
* Development opportunities in an international and dynamic Company.
* Large training measures and target-oriented feedback.
* Attractive remuneration package.
* Flexible working hours and entitlement to leave.
* Extra social security benefits.
About the Role
This role is ideal for individuals with a strong background in finance who want to contribute to a dynamic team in Luxembourg.