Financial Operations Intern: AP/AR & Cash Flow Analysis

Circle Economy

Amsterdam

Hybrid

EUR 88,000 - 119,000

Full time

14 days+

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Benefits offered by this job

€775 stipend per month
6–8 months internship
Travel reimbursement
Office in Amsterdam at least 50%
Growth in financial operations

Job summary

Circle Economy in Amsterdam is offering a paid internship to support the Financial Analyst with the full operational financial process from start to finish. You will analyse complex issues and help implement process improvements while gaining hands-on experience in a dynamic, impact-driven organisation.

You will perform daily AP/AR, assist in cash-flow forecasting, and help prepare monthly/quarterly reports. Office-based 50% of the time with travel reimbursement where needed.

Qualifications

  • Independent, self-starting student or recent graduate in Finance/Accounting.
  • Strong analytical skills and knowledge of financial operations.
  • Comfortable with Excel, Google Sheets, and basic bookkeeping.

Responsibilities

  • Process and maintain daily accounts payable and receivable activities and assist in forecasting cash flows.
  • Support in the preparation of the monthly and quarterly reports.
  • Prepare supporting documents for reports, audits and financial reviews.
  • Collaborate with Circle leads to verify financial data.
  • Work on ad-hoc financial analyses to support the circles.

Skills

Analytical skills
Excel
Google Sheets
AP/AR knowledge
Basic bookkeeping
Dutch language proficiency
Independent worker
Strong communicator

Education

MBO or HBO student in Finance, Accounting, Business Economics
Final year student or recent graduate

Tools

Exact Online

Job description

Circle Economy in Amsterdam is offering a paid internship to support the Financial Analyst with the full operational financial process from start to finish. You will analyse complex issues and help implement process improvements while gaining hands-on experience in a dynamic, impact-driven organisation.

You will perform daily AP/AR, assist in cash-flow forecasting, and help prepare monthly/quarterly reports. Office-based 50% of the time with travel reimbursement where needed.

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