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Paris Area, France Finance Full-time

Accounting Specialist, General

Overview

Contentsquare is a digital experience analytics company dedicated to making the digital world more human through online experiences built on trust, privacy, and accessibility. Since our founding in France in 2012, we have grown to be a truly global team, representing more than 70 nationalities in offices across the world, including New York, London, Paris, Munich, San Francisco, Barcelona, Amsterdam, Tel Aviv, Tokyo, Singapore, and more.

We’ve been recognized by Frost & Sullivan as a Global Company of the Year, and by Wired Magazine as one of Europe’s hottest startups. In July of 2022, we raised $600M in Series F funding, doubling our valuation to $5.6B. But we’re not stopping there.

To reach our ambitious goals for the future, we will be nearly doubling the size of our global workforce in the next 2 years. Want to learn, innovate and contribute your unique perspective to an industry leader? Join the team dedicated to bringing more human analytics to the world!

The Role 
The successful candidate will support the managing of Accounts Payable and Receivable reporting to the Finance Manager. Support preparing financial statements and reporting is a large part of the accountant’s day-to-day work.

The ideal candidate will be autonomous, well-versed in accounting principles and able to work comfortably with numbers and attention to detail in a high-growth company.

Responsibilities 
·   Post and process journal entries with Cost Center allocation to ensure all business transactions are recorded
·   Update accounts payable and perform reconciliations
·   Prepare vendor payments
·   Review of expenses submitted by employees
·   Manage payroll process and liaise with our payroll provider
·   Examine bank statements and reconcile them with general ledger entries
·   Prepare inter-company account reconciliation
·   Assist in the processing of balance sheets, income statements and other financial statements according to legal and company accounting and financial guidelines
·   Update financial data in Netsuite to ensure that information will be accurate and immediately available when needed
·   Prepare, reconcile and analyse monthly management accounts
·   Prepare monthly/yearly closings (accruals/prepaid expenses…)
·   Take responsibility for ensuring all documentation is in place for auditing purposes
·   Prepare cash flow forecasts
·   Manage any accounting projects if needed (process implementation) 

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