Looking for the ideal launching pad for your finance career in an international treasury environment? In this dynamic role, you will combine responsibility over daily treasury accounting and cash management with an active contribution to a large-scale S/4HANA transformation. A unique opportunity for an ambitious finance professional eager to grow and make an impact within a complex, worldwide network.
Practical details:
- Location: Beerse, Belgium (Hybrid: minimum 3 days on-site, maximum 2 days remote)
- Contract type: Consultancy or Freelance
- Project duration: Start September 2026 – September 30, 2027
- Language requirements: Fluency in English is an absolute requirement
- Education required: Master’s degree or equivalent (Finance, Economics, Accounting)
Who are you?
Experience: 2 years of experience in Finance / Accounting within an international corporate environment.
Essential knowledge: Good understanding of general accounting principles; knowledge of US GAAP and S/4HANA.
Mindset: Accurate, reliable, proactive, and equipped with a strong compliance-driven mindset and job ownership.
Adaptability: Stress-resistant, flexible, eager to learn, and comfortable managing tight deadlines in a changing environment.
Communication: Outstanding communication skills with the ability to manage complex relationships across international cross-functional teams.
Core responsibilities:
As a Financial Analyst in Treasury Accounting, you will be part of the RCM Accounting team (8 colleagues) within a broader international Treasury division. You will take full ownership of the daily cash management and accounting transactions for assigned international affiliates, while actively participating in a major S/4HANA ERP transformation.
- Daily cash management & postings: Handle daily postings related to electronic bank statements, follow up on interfaces, and process financial transactions within strict timeframes.
- Affiliate set-up & integration: Onboard new affiliates in the treasury system by correctly aligning and implementing balances, master data, mapping tables, and parameters in close collaboration with Finance and Global Services teams.
- Month-end closing & reconciliations: Perform monthly closing activities, forecastings, and rotative reconciliations within tight deadlines. Accurately report financial data to other financial departments, investigate discrepancies, and resolve outstanding SOX requirements.
- International stakeholder management: Act as the primary contact for your assigned affiliates and manage interactions with global finance stakeholders.
- Systems & transformation support: Participate in testing and support activities for the ongoing S/4HANA implementation to optimize processes, update documentation, and achieve project milestones.