Cash Management Accountant with French
Key Requirements :
Experience as cash management
Experience with managing payments and their system
5y of experience with accounting
Familiarity with foreign and domestic payments processing,
C1 English + B1 French OR B2+ French / B1+ English
Proven work experience as a Fees and Services Control officer or similar role - nice to have
In-depth knowledge of the asset management sector and specifically of funds and institutional clients fee structures - nice to have
Ability to respond to situations using rational decision-making, problem-solving and conflict resolution skills.
Good communication skills, both written and verbal,
Efficient time management and organizational skills
Key Responsibilities :
Manage daily cash flows
Manage payments
Participate in the activities of the bank reconciliation perimeter
Ensure the production of the accounting close
Contributions to improvement
We offer :
Dynamic career opportunities across a global organization.
Engagement in sustainability initiatives and community projects.
Robust employee wellbeing programs and award-winning learning platforms.
Hybrid working and a diverse, inclusive workplace.
Full-time employment contract.
Good atmosphere and team-building approach.
Benefits : Private Medical Healthcare, Life Insurance, Sport Card, Trainings, co-financed language courses, professional certifications and post-graduate studies, Employee Pension Plan, Lunch Card (450 PLN / month), Cafeteria Platform (myBenefit).
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Accountant • Warszawa, Polska