Banking, Finance & Accountancy

Euro London have two decades of hard-earned insight and experience from sourcing and placing banking, finance & accountacy experts with bilingual or multilingual capabilities. We work with the world’s leading financial institutions to deliver permanent, temporary, and contract personnel solutions for front, middle and back office functions.

Cross-border trading is an everyday occurrence in the ever-expanding global economy. Employees with the cultural and linguistic abilities to span countries and continents enables your company to function efficiently and internationally. Our candidates compliment the demands of international trade, applying their linguistic skills to a global market place.

 

  • Notre client recherche un / une Contrôleur de Gestion, spécialisé Supply Chain (anglais courant) Sous la responsabilité hiérarchique du Head of Group Financial Control, vous reporterez fonctionnellement au Chief Supply Chain Officer afin de l’épauler au quotidien dans le suivi et la gestion financière de l’activité Supply Chain Group. Pour cela, vous élaborez le budget de la supply chain et en assurez le suivi afin d’améliorer la performance. Vous vous positionnez comme un Business Partner afin d’établir l’analyse de la performance, la définition, et le suivi des objectifs.   RESPONSABILITES Périmètre France Construire le budget et les différents estimés de la supply chain France Faire le suivi en comptabilité analytique et générale (participer au cut-off, vérifier et fiabiliser les imputations analytiques…) Construire des tableaux de bord/reporting mensuels pour un pilotage fin et efficace de l’activité. Analyser les écarts de performance et proposer des plans d’actions d’amélioration Pré-valider les factures des prestataires   Périmètre Groupe Coordonner la construction et le suivi budgétaire des différentes BU  Construire les tableaux de bord consolidés Groupe des coûts supply chain Challenger les BU dans l’analyse des écarts Assurer le bilan produits finis via la mise en place d’un reporting adapté (réconciliation livraison et produits finis) et la coordination des inventaires à mettre en œuvre sur tout le flux Gestion de la base de Prix de transfert dans SAP : suivi et mise à jour le cas échéant Participer aux différents projets supply et en estimer l’impact financier : coût sous-traitance, modification flux de livraison… Cela impliquera une coordination avec les différents services et Business Unit. Participer à la définition des évolutions informatiques nécessaires et aux tests appropriés.   PROFIL REQUIS                                                             Expérience en tant que contrôleur de gestion en supply chain dans le monde industriel PGC (Produits Grande Consommation)                                                            Langues : Anglais professionnel   Salaire : 39K€ fixe + bonus de 2.5K€ + avantages (participation, CE, mutuelle, RTT, prime de vacances)   Merci d’envoyer votre CV à m.collins@eurolondon.fr   Merci de noter que seuls les candidats retenus seront contactés

  • Spanish speaking Financial Controller A unique family office is looking for a senior Spanish speaking accountant to manage one of their clients' accounts. This is a great opportunity to work for a very successful and growing global boutique firm. Key responsibilities: *Monitoring and forecasting family cash flow - involving information gathering from other sources - trustees, the company, specialist professionals, banks. Reviewing proposed transactions to be undertaken by the principal business in which the client is invested, and the tax (complex and multi-jurisdictional). *Attending various meetings with the client and /or with the client's other advisers and/ or with the team behind the client's main investment. *Overseeing the operation of the household and company payrolls. *Thinking proactively for the family and in particular forward looking and as a result raising valuable matters for the family's consideration. Special Projects *Reviewing proposed company restructuring and amendments to investor agreements from the perspective of protecting the family interests. *Reviewing of investment and sale opportunities, preparing financial models and advising on appropriate structures for such investments. *Financial oversight of a significant capital project being undertaken by the family and liaising with the project team to monitor budgets and expenditure. Tax *Personal tax - advising the client on personal tax matters covering a variety of income streams, including employment matters, dividend and investment income, partnership income. Advising on the tax implications of various investments both in the UK and abroad. Oversight of the preparation of personal tax returns and ensuring that tax liabilities are settled in a timely manner. *Corporate tax - advising the client's UK investment companies on the taxation of income received from worldwide investments. Overseeing the preparation of corporate tax returns and other statutory filings. *Partnership taxation - advising on the tax implications for both the client's company and the family trust on partnership tax matters in relation to investments. *International tax - the client holds investments in several different jurisdictions, in Europe and further afield. An important part of the role is understanding how the UK tax system interacts with the local tax regime of each of these investments. Experience: Native or near native level of Spanish written and spoken ACCA or ACA qualified Knowledge of Spanish accounting practices This is an exciting permanent opportunity beginning immediately. If you are currently available and have the required skill set please send your CV in word format. Thank you for your interest in Euro London Appointments. Please be advised CVs will be treated in the strictest of confidence and that your application will not be forwarded without your permission. We aim to respond promptly to your application however, due to the high level of CVs we receive we are only able to respond to applicants whose profile matches our Clients requirements. For more jobs please visit our website at www.eurolondon.com.

  • Fraud Operations Manager - Ireland Key Responsibilities *Oversee day to day operations of the Fraud team in Ireland *Build a culture of ownership and accountability across the team, consistently raising standards *Supervise, train and motivate to get the best out of the team *Assist with hiring, training and coaching new team members *Find existing fraud trends by analysing accounts and transaction patterns *Identify ways to improve processes with ability to coordinate with product, technology and analytical teams to implement *Willingness to step in and do team tasks, as required; includes: *Identifying and detecting suspicious orders by interpreting large, complex, sensitive data using an array of cutting edge systems and methodologies *Reviewing and categorizing buyer payment disputes to prevent future fraud Experience, Knowledge and Skills *Relevant experience in managing an operational team, ideally in a high growth environment *Proven ability to manage a workforce to deliver ambitious operational results *Strong work ethic with a "can-do" attitude; very motivated and pro-active *Hands on and enthusiastic leadership style with excellent interpersonal skills - can connect with staff at all levels and effectively manage change *Data driven decision maker *Thrive in a fast paced, challenging environment *Experience working in the fraud prevention/revenue protection industry or with SQL is a plus *Eligible to work in Ireland Benefits that apply: -Health insurance -Relocation package (one-way flight, 2 weeks accommodation) -Ability to travel to my client's offices globally -Opportunities to manage the global fraud team -20 days annual leave 9 bank holidays

  • Portuguese Financial Services Investment Specialist in Madrid, Spain My Client is looking for a Portuguese speaking candidate with Banking experience. You Should have one of the Certifications CIF, CAF, EFPA, EFA, but if you have really strong Banking experience kindly still apply. Responsibilities *Attend Inbound and outbound calls, emails, WhatsApp, chat to provide customer support and cross sell specific products in the German market. *Inform and sell saving and investment products (securities and derivatives, Investment Funds, Pension Plans, savings insurance, discretionary or objective management, etc.) in which the client can invest in. *Inform customers about the main variables and situation of the national and international financial markets and their impact on the different products and services in portfolio. *Carry out the operation, commercialization and incident's management of the products and services described above. *Capitalise upselling & cross selling opportunities where applicable. REQUIREMENTS *Portuguese native level *High level of English and MS Office (Excel, Word, PowerPoint, Access). *Higher education in ADE, CCEE, Law or similar. *Proven commercial experience of minimum 1 year in brokerage or investment service or selling Investment products. *Experience in issuing calls for sale of investment products (Funds, plans, etc.) *Experience in departments of financial analysis or market analysis. *Knowledge of financial markets, statistics and mathematics. *Certifications CIF, CAF, EFPA, EFA, etc. *Analytical ability and ease to acquire new complex knowledge autonomously. BENEFITS *Full time position (39 hours/week) *Salary: 25.000€ gross/year *WITH NO CERTIFICATES - €18000 gross/year *Full Relocation- Flight and €600 for accommodation *Opportunity to grow in a multinational company

  • DUTCH Financial Services Investment Specialist in Madrid, Spain My Client is looking for a DUTCH speaking candidate with Banking experience. You Should have one of the Certifications CIF, CAF, EFPA, EFA, but if you have really strong Banking experience kindly still apply. Responsibilities *Attend Inbound and outbound calls, emails, WhatsApp, chat to provide customer support and cross sell specific products in the German market. *Inform and sell saving and investment products (securities and derivatives, Investment Funds, Pension Plans, savings insurance, discretionary or objective management, etc.) in which the client can invest in. *Inform customers about the main variables and situation of the national and international financial markets and their impact on the different products and services in portfolio. *Carry out the operation, commercialization and incident's management of the products and services described above. *Capitalise upselling & cross selling opportunities where applicable. REQUIREMENTS *DUTCH native level *High level of English and MS Office (Excel, Word, PowerPoint, Access). *Higher education in ADE, CCEE, Law or similar. *Proven commercial experience of minimum 1 year in brokerage or investment service or selling Investment products. *Experience in issuing calls for sale of investment products (Funds, plans, etc.) *Experience in departments of financial analysis or market analysis. *Knowledge of financial markets, statistics and mathematics. *Certifications CIF, CAF, EFPA, EFA, etc. *Analytical ability and ease to acquire new complex knowledge autonomously. BENEFITS *Full time position (39 hours/week) *Salary: 30.000€ gross/year *WITH NO CERTIFICATES - €25000 gross/year *Full Relocation- Flight and €600 for accommodation *Opportunity to grow in a multinational company

  • GERMAN Financial Services Investment Specialist in Madrid, Spain My Client is looking for a German speaking candidate with Banking experience. You Should have one of the Certifications CIF, CAF, EFPA, EFA, but if you have really strong Banking experience kindly still apply. Responsibilities *Attend Inbound and outbound calls, emails, WhatsApp, chat to provide customer support and cross sell specific products in the German market. *Inform and sell saving and investment products (securities and derivatives, Investment Funds, Pension Plans, savings insurance, discretionary or objective management, etc.) in which the client can invest in. *Inform customers about the main variables and situation of the national and international financial markets and their impact on the different products and services in portfolio. *Carry out the operation, commercialization and incident's management of the products and services described above. *Capitalise upselling & cross selling opportunities where applicable. REQUIREMENTS *German native level *High level of English and MS Office (Excel, Word, PowerPoint, Access). *Higher education in ADE, CCEE, Law or similar. *Proven commercial experience of minimum 1 year in brokerage or investment service or selling Investment products. *Experience in issuing calls for sale of investment products (Funds, plans, etc.) *Experience in departments of financial analysis or market analysis. *Knowledge of financial markets, statistics and mathematics. *Certifications CIF, CAF, EFPA, EFA, etc. *Analytical ability and ease to acquire new complex knowledge autonomously. BENEFITS *Full time position (39 hours/week) *Salary: 30.000€ gross/year *WITH NO CERTIFICATES: €25.000 *Full Relocation- Flight and €600 for accommodation *Opportunity to grow in a multinational company

  • Working for a global multinational within their international finance and accounting team you will be fluent in German or English. Previous experience in Accounts admin or Financial admin is preferred but not essential. Alternatively, you will have previous experience in administration/customer services and have great attention to detail. You will have an excellent telephone manner and PC skills, familiar with Microsoft Office etc. You will be meticulous and organised and enjoy working as part of an international team where you can use your German skills. You will be a strong team player and enjoy dealing with customers along with have excellent problem solving skills. Fluency in German is essential.Car drivers are preferred due to the company not being accessible via public transport. For a more detailed spec regarding the day to day duties,please send your CV in a Word format to the email provided. Please note that we can only consider applicants who already hold a full UK work permit. Euro London Appointments, the UK's largest independent language consultancy, is acting as an employment agency for this vacancy. We aim to respond as promptly as possible to your application, however, due to the high level of CVs we receive we are only able to respond to applicants whose profile matches our client's requirements. To enquire about other vacancies please visit our website at www.eurolondon.com

  • Kaufmännischer Sachbearbeiter (m/w/d) in Technik & Qualitätssicherung Vollzeit Befristeter Einsatz bis 31.03.2020, mit Option auf Verlängerung, bzw. Übernahme   Aufgaben: Unterstützung und Entlastung des Sachgebiet Leiters im Tagesgeschäft Mithilfe bei der Erarbeitung von Informationsveranstaltungen/Schulungen Unterstützung im 1st Level Support Projekt CAFM Datenverwaltung und –pflege Unterstützung im Bereich Auftragsabwicklung Bearbeiten von Eingangsrechnungen (sachlich/rechnerische Prüfung) Verantwortung und Durchführung von schriftlicher und telefonischer Korrespondenz Erstellung und Pflege technischer Dokumentationen   Ihr Profil: Kaufmännische oder vergleichbare Ausbildung Fließend Deutsch Erste Berufserfahrung im kaufmännischen Bereich von Vorteil Verantwortungsbewusstsein Team- und Kommunikationsfähigkeit Gute Kenntnisse in MS Office (Word, Excel, PowerPoint) Gute Kenntnisse in SAP-Anwendungen   Was wir bieten: Flexible Arbeitszeiten – ohne Kernarbeitszeiten Attraktives Gehalt, inklusiv Urlaubs- und Krankentage Einen sicheren Job Sollte diese Stelle interessant für Sie sein oder sollten Sie noch weitere Fragen haben, dann freue ich mich über Ihren Lebenslauf im Word Format an munich@eurolondon.de Vielen Dank, dass Sie sich bei Euro London Appointments beworben haben. Wir sind Europas größte, unabhängige Personalagentur, die sich auf die Vermittlung von mehrsprachigem Personal spezialisiert hat. Wir versichern Ihnen, dass alle eingesandten Dokumente höchst vertraulich behandelt werden und Ihre Bewerbung nur mit Ihrer ausdrücklichen Genehmigung weitergeleitet wird. Wir versuchen so schnell wie möglich auf Ihre Bewerbung zu reagieren, bitten Sie aber um Verständnis, dass wir aufgrund der hohen Anzahl von Bewerbungen, die wir tagtäglich erhalten, nur auf Bewerbungen antworten können, die dem vorgegebenen Anforderungsprofil unserer Kunden entsprechen. Falls Sie Interesse an weiteren offenen Stellenangeboten haben, besuchen Sie uns gerne auf www.eurolondon.de.  

  • Steuerfachangestellte/Tax Clerk Part-time or Full-time, option to work partly from home Entry level or Experienced. Languages: Fluent English, German, ideally also French. Location: Frankfurt As a tax clerk you will be joining an international team of 6. The duties of the role involve are: Processing of financial accounting Collaboration in the preparation of annual financial statements and income-surplus accounts Participation in the preparation of tax returns Your profile: Successfully completed training as a Steuerfachangestellste (m/w/d) Knowledge of German Accounting Regulations Knowledge of DATEV is a plus Secure application of the MS Office functions Fluent German/English Good knowledge of French is an advantage Willingness to perform and openness to new developments Why Apply: Long-term perspective with career opportunities open to you Financial support for further education Dynamic, harmonious team Attractive pay Modern working environment Pleas CLICK APPLY or feel free to send your application to a.cardano@eurolondon.de Thank you for applying to Euro London Appointments, Europe's largest independent language consultancy. Please be advised that documents will be treated in the strictest of confidence and that your application will not be forwarded to any client without your express permission. To enquire about other vacancies please visit our website at www.eurolondon.com

  • Our client is seeking an English speaking Financial Planning and Analysis Director to join their international team based in Maurens-Scopont, Tarn (40 minutes drive from Toulouse). French is not an obligatory requirement.   POSITION SUMMARY: The FP&A Director partners with the EMEA organizations and is responsible for timely and accurate financial forecasts, month end close, management reporting and ensuring compliance with local regulations and internal policies. The FP&A Director owns the Working Capital monthly forecast & analysis. She(he) will drive remediation plans when significant deviations from forecast occur   ESSENTIAL JOB RESPONSIBILITIES: Operational support to the country (ies) of operation, including tight cost control, pricing / margin control and budget/forecast accuracy Review the contracts and control minimum pricing levels. Escalate when margins are below acceptable levels ; follow up bidding process and ensure that pricing is satisfactory Be an active member of the local Management team, ensure that all decisions follow the Ethics Policy and are the most cost effective Explain monthly variance to the local managers on revenue, margins and opex Support promptly Management on ad hoc requests Provide high level guidance on financial matters to the local management team and ensure that input of regional and corporate resources on taxes, treasury matters, risk management, accounting and internal control is obtained when needed. Coordinate budget and monthly forecast to ensure accuracy of the numbers reported in the in the forecast system with the figures approved by the Management team. Responsible for the Revenue, Opex, Working Capital and headcount forecasting and reporting for EMEA Design financial models and analyze historical, current, and projected financial data for use in planning, forecasting, and management decision making Publish comprehensive weekly and monthly dashboards/score cards to regional management and Global FP&A, analyzing forecast variances, identifying trends and providing recommendations to drive forecast execution and accuracy. Work with the business to deliver the Revenue and margin/OMX targets for EMEA Support the Regions in the execution of critical projects Go Live program – be the voice of Finance together with the Finance Director Weekly forecast reviews for the RAT meeting presentations Use the skills from the Shared Service as required in agreement with the Accounting Managers   REQUIREMENTS: Education and Experience:  BA or equivalent in Finance, Accounting or related field. CPA  or MBA or equivalent certification preferred Significant experience in finance and accounting within an international / US environment Strong FP&A experience in a matrix organization International experience or having worked directly with multiple foreign locations and reporting Accounting : US GAAP or UK GAAP knowledge Audit firm 3 years preferred Fluent in English Knowledge and skills:  Proactive and flexible on deadlines / be able to turnaround quickly with answers Needs to be able to think strategically to pre empt/adapt to a dynamic market Ability to analyze and review financial reports and provide analysis regarding budget issues. Ability to develop financial models supporting the agency’s overall fiscal goals and ensure funds are processed accurately and division deadlines are achieved Leadership experience : play an active role in all Sales meetings / forecast reviews and drive the adequate behavior from the sales team to ensure forecast accuracy   Salary: 90-100K€ + 20% bonus + benefits   Please send your CV to m.collins@eurolondon.fr   Thank you for applying to Euro London Appointments. We aim to respond as promptly as possible to your application. However, due to the high volume of CV's we receive, we are only able to respond to applicants whose profiles match with our Clients’ requirements.