Our client is an internationally active investment and management company headquartered in Vienna and New York. To strengthen the Finance team, we are seeking a dedicated professional with a solid accounting background.
Your Responsibilities
* Support the monthly close process for the international management company and affiliated entities
* Assist in preparing budgets and financial forecasts for European and US entities
* Manage accounts payable and payment processing
* Perform bank and credit card reconciliations
* Administer and oversee the corporate credit card program
* Monitor and optimize corporate spend management processes
* Reconcile intercompany transactions
* Collaborate with internal departments as well as external tax advisors and service providers
* Support tax filings and regulatory matters
* Contribute to ad hoc projects aimed at further process optimization
Requirements
Your Qualifications
* Bachelor's degree in Accounting, Finance, or a related field
* 3–5 years of professional experience in accounting or finance
* Strong Excel skills
* Solid understanding of both cash and accrual accounting
* Experience with expense allocation
* Excellent English skills (company language is English)
* Structured, precise, and independent working style
* Ability to manage multiple priorities in a fast-paced environment
* Experience with international accounting systems (e.g., QuickBooks, QBO, NetSuite) is an advantage
Benefits
What to Expect
* International working environment with close collaboration with Finance leadership
* Representative office in an elegant historic palais in the heart of Vienna (1010)
* Modern infrastructure and technically state-of-the-art workspaces
* High level of responsibility and exposure to international structures
* Above-average compensation depending on qualifications and experience
* Numerous attractive employee benefits
We look forward to receiving your application