Original listing text, shown exactly as published by the company.
Your Responsibilities: 1. Monthly Closing and FP&A
- Assist the external accounting firm in the monthly closing process for three entities: France, the United States, and the Philippines. Ensure that all revenue, cost, and payroll inputs are delivered accurately and on time, and flag discrepancies between operational data and accounting entries.
- Update, review, and analyze all financials and KPIs, covering revenue breakdown, cash performance, current trading, monthly actuals vs. budget
- Prepare the Board-level finance KPI dashboard for all key stakeholders
- Contribute to the annual budget process and maintain financial forecasts, monitoring variances and flagging areas of concern
2. Finance Operations
- Revenue & Cash: track and follow up on client invoices, manage cash collection to ensure timely payment and minimize outstanding receivables
- Cost management: review and approve supplier invoices, employee expenses, and software subscriptions; conduct the monthly expert payment audit.
- Payroll support: produce the monthly payroll reporting in coordination with the HR team
3. Strategic Finance
- Contributed to the company’s international expansion, supporting office openings across the US, Europe, and Asia
- Partnered with department heads to assess financial needs, providing data-driven insights and developing financial models to support strategic decision-making
- Supported financing initiatives, including securing new bank loan opportunities
- Prepare supporting documentation for the annual R&D tax credit filing
Your Qualifications:We value diverse backgrounds and don't have an "ideal" profile in mind, however the following qualifications will be beneficial in this role:
- You are business school graduate with a Master's degree, with a specialization in finance, accounting, or audit
- You have 2-3 years of professional experience in accounting, audit, or FP&A, ideally gained in a fast-moving environment
- You are fluent in French & English
- You thrive in managing multiple recurring tasks in parallel while meeting fixed monthly deadlines
- You are proficient in Excel; experience with accounting tools is a plus
- You like collaborating as a team and delivering your best as an individual.
- You are not afraid of challenges, or jumping into the unknown, and to become an expert in tech financing, software market and related topics.
Cherry on the Cake
- You like collaborating as a team, and delivering your best as an individual
- You are looking to learn a lot and feel empowered in your next professional mission
- You are interested in entrepreneurship
- You are passionate about technology, innovation, and investment
- You would like to have strong career growth
Process
- 1 Intro call with HR Manager
- 1 Pre-case interview with our Finance Manager
- 1 Case study
- Final interview with Managing Director
This position is based in Paris.