Finance Manager

Axis Group - HR Advisor

Brussel Hoofdstad

Hybride

EUR 65 000 - 90 000

Plein temps

Il y a 5 jours
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Avantages offerts par ce poste

Insurance
Meal vouchers
Flexible allowances
Hybrid work environment

Résumé du poste

Axis Group seeks an experienced Accounting & Financial Officer to coordinate the budgeting process and ensure accurate financial records. You will liaise with budget managers and external auditors, supporting treasury, reporting, and process improvements in a global, people-focused setting.

You will oversee daily accounting activities, cash flows, and month-end closings, while producing management reports and ensuring regulatory compliance in a hybrid, international environment.

Qualifications

  • Bachelor's degree in Accounting and Taxation or comparable experience in a financial environment.
  • At least 5 years of experience in accounting with thorough understanding of financial processes, reporting and budget monitoring.
  • Experience in cash management, treasury management, or process automation is a plus.
  • Excellent command of Dutch and professional level of French and English.
  • Familiarity with accounting software, Excel and digital financial tools.
  • Strong accuracy, analytical thinking, organizational skills and independence.

Responsabilités

  • Coordinate the annual budgeting process and monitor variances.
  • Ensure reliable, complete, and compliant accounting and guarantee proper processing of payments.
  • Oversee daily accounting activities, including reconciliations, month-end closings, and automated processes.
  • Manage cash flows, schedule payments, and maintain relationships with financial partners.
  • Prepare financial reports and analyses for management.
  • Monitor accounts receivable and contribute to optimizing financial management.
  • Coordinate audits and tax matters and ensure compliance with legal and regulatory obligations.
  • Identify opportunities for continuous improvement and contribute to process and internal control optimizations.

Connaissances

Accounting
Budgeting
Financial analysis
Cash management
Treasury management
Process automation
Analytical thinking
Communication

Formation

Bachelor's degree in Accounting and Taxation

Outils

Excel
Accounting software
Digital financial tools

Description du poste

Are you an experienced Accounting & Financial Officer with a passion for financial processes? Our client is looking for a driven professional to coordinate the annual budgeting process and ensure accurate accounting records. With your analytical skills and experience in treasury and financial reporting, you’ll serve as the link between various stakeholders, from budget managers to external auditors. Enjoy a competitive salary, flexible working hours, and a role where you can truly make an impact. Join an international and people-oriented organization that values your growth.

Responsibilities
  • You will coordinate the annual budgeting process and monitor variances from the budget;
  • You will ensure reliable, complete, and compliant accounting and guarantee the proper processing of payments;
  • You oversee daily accounting activities, including performing reconciliations, month-end closings, and automated processes;
  • You manage cash flows, schedule payments, and maintain relationships with financial partners;
  • You prepare financial reports and analyses for management;
  • You monitor accounts receivable and contribute to optimizing financial management;
  • You will coordinate audits and tax matters and ensure compliance with legal and regulatory obligations;
  • You will identify opportunities for continuous improvement and contribute to the optimization of processes and internal controls.
Qualifications
  • Holds a bachelor’s degree in Accounting and Taxation or has gained comparable experience in a financial environment;
  • Has at least 5 years of experience in accounting and possesses a thorough understanding of financial processes, reporting, and budget monitoring;
  • Has additional experience in cash management, treasury management, or process automation; this is a plus;
  • Has an excellent command of Dutch and a professional level of proficiency in French and English;
  • Is familiar with accounting software, Excel, and digital financial tools;
  • Is characterized by accuracy, analytical thinking, organizational skills, and the ability to work independently;
  • Demonstrates discretion, takes initiative, and has a strong sense of responsibility;
  • Is an excellent communicator, solution-oriented, and values teamwork.
Benefits
  • A competitive compensation package commensurate with your experience and responsibilities.
  • An attractive package of employee benefits, including insurance, meal vouchers, and various allowances.
  • A hybrid and flexible work environment that promotes work-life balance.
  • Additional days off and flexible benefits tailored to your needs.
  • A varied and independent role with visibility within the organization.
  • The opportunity to contribute to the continuous improvement of financial processes.
  • An international, collaborative, and people-oriented work environment.
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