FunctieomschrijvingPerform month end procedures for all aspects of the management accounts including specific balance sheet accounts, inventory and accrualsEnsure financial processing and authorization procedures are applied in accordance with approved proceduresCommunicate effectively within the finance team assisting the team to operate at a high standard of efficiency and for the businessAssist in the preparation of statutory financial statements for relevant entity in accordance with International Accounting StandardsSupporting the business team for supplier and distribution contractual adherence to agreementsBe a key, participative member of the team, ensuring a commercial focus building upon Finance experienceProvide monthly briefing on margins and expenditure reports. Highlighting key variances / deviations from budget and forecasts and offering recommendations to remedyProvide early visibility for cash flow requirements for all currency accounts in conjunction with group cash flow managemenAt least one first professional experience in related fieldFluent in French and good knowledge in EnglishResults driven, solutions orientedTrustworthiness and discretion when dealing with confidential informationDesire to professionally and commercially develop within a fast paced, growing businessAbility to work both collaboratively as a team across various functions and regions, and to work independently in an ambiguous, constantly-changing environmentA competitive salaryFlexible working hours and the option of homeworking (up to 3 days a week)A supportive and collaborative working environmentA temporary position within a large and established organization in the pharmaceutical sectorEtc.