Finance Intern: Budgets, Cash Flow & Analysis

Work With Island

Paris

Sur place

EUR 12 276 - 18 972

Plein temps

14 jours+

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Avantages offerts par ce poste

Mobility package
Swile meal card
2–3 sports sessions/month
Regular team events & a company roast

Résumé du poste

Work With Island is seeking an intern to join the Finance team and contribute to structuring, analyzing, and improving the reliability of the company’s financial performance. You will work with Emilia, Head of Finance, on budgeting, forecasts, and performance analyses to drive strategic decisions.

You will also assist with daily cash management and office administration, while gaining exposure to audits, regulatory compliance, and stakeholder communications in a growing company.

Qualifications

  • Pursuing a Master’s degree in Finance, Auditing, Management Control, or Corporate Finance.
  • Solid knowledge of accounting and financial principles.
  • Proficient in MS Office/Google Suite (Excel/Google Sheets) and highly comfortable working with numerical data.
  • Fluent in French with a good working knowledge of English.

Responsabilités

  • Assist in budgeting and forecasting processes, data collection, consolidation, and analysis.
  • Contribute to monthly financial reports and KPI tracking.
  • Support daily cash management and cash flow forecasting.
  • Assist with office management, inventory, onboarding/offboarding processes.
  • Prepare documentation for banks, investors, and partners.
  • Contribute to internal and external audits and ensure regulatory compliance.
  • Develop understanding of corporate finance and financial analysis, with mentoring.

Connaissances

Budgeting
Forecasting
Financial analysis
Cash flow management
Office management
Compliance
Audit support
Financial reporting

Formation

Master’s degree in Finance, Auditing, Management Control, or Corporate Finance

Outils

Excel
Google Sheets

Description du poste

Work With Island is seeking an intern to join the Finance team and contribute to structuring, analyzing, and improving the reliability of the company’s financial performance. You will work with Emilia, Head of Finance, on budgeting, forecasts, and performance analyses to drive strategic decisions.

You will also assist with daily cash management and office administration, while gaining exposure to audits, regulatory compliance, and stakeholder communications in a growing company.

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