Finance Manager - CDI - Paris

Sumár práce
Plný úväzok
Paris
Plat: 45K až 50K €
Dátum nástupu: 01. septembra 2025
Príležitostná práca na diaľku
skúsenosti: > 3 roky
Vzdelanie: Magisterský stupeň vzdelania
Zručnosti & odborná znalosť
Generovaný obsah
Prispôsobivosť
Finančné výkazníctvo
Pozornosť venovaná detailom
Spolupráca a tímová práca
Účtovníctvo
+5

Work With Island
Work With Island

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Otázky a odpovede ohľadne ponuky

Pozícia

Popis pracovnej ponuky

Ready to dive into the world of finance, strategy, and fast-paced decision-making?

Join us as a Finance & Strategy Associate, working closely with our Senior Head of Finance to take ownership of our finance operations and support strategic planning.

This role is ideal for someone who enjoys challenges, numbers, and business strategy, and wants to have a real impact in a growing company.

Your responsibilities

🧭 Budgeting & Forecasting

  • Assist in building budgets and reforecasts with our Senior Head of Finance

  • Analyze gaps between forecasts and actuals (Month-to-Date & Year-to-Date)

📊 Financial Analysis

  • Support financial reporting and performance analysis

  • Prepare monthly reports for the leadership team

  • Monitor key financial KPIs

💰 Accounting & Admin

  • Follow up on general accounting with our external accountant

  • Oversee supplier payments, expense reports, client invoicing

💸 Cash Management

  • Support daily cash flow monitoring

  • Help optimize working capital and cash operations

  • Work with the Ops team on client receivables

📁 Compliance & Audit

  • Help prepare internal and external audits

  • Ensure accounting standards and legal requirements are met

🎁 What We Offer

  • Competitive Salary & BSPCE

  • 🚲 Mobility package

  • 🎟 Swile meal card: €9/day

  • 💚 Health coverage through Alan

  • ⛰️ Remote work: 2 days/week (if based in Paris)

  • 🥳 Regular team events & Biannual company retreats


Preferované skúsenosti

Hard Skills

  • Strong foundation in financial analysis, accounting, and budget tracking

  • Fluent in Excel and experienced with financial modeling (budget, P&L, cash flow)

  • Comfortable with finance SaaS tools (e.g. Pennylane, Hubspot, Notion, Qonto, NetSuite…)

  • Fluent in English & French

Soft Skills

  • You’re detail-oriented, reliable, and respect deadlines

  • Autonomous and proactive — you take initiative and spot issues before they arise

  • Strong analytical mindset and business understanding

  • Clear communicator, especially with non-financial stakeholders

  • A team player who enjoys cross-functional collaboration

  • Adaptable and comfortable in a fast-moving startup environment


Náborový proces

  1. 30 min HR interview with Amélie

  2. 30 min video call with Alexandre

  3. 1h business case with Alexandre &Yohann

  4. 30 min team fit with the team

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