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 RequirementsYour 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 advantageBenefitsWhat to ExpectInternational working environment with close collaboration with Finance leadershipRepresentative office in an elegant historic palais in the heart of Vienna (1010)Modern infrastructure and technically state-of-the-art workspacesHigh level of responsibility and exposure to international structuresAbove-average compensation depending on qualifications and experienceNumerous attractive employee benefitsWe look forward to receiving your application