Finance Analyst

Résumé du poste
Autres
Brussel
Salaire : Non spécifié
Début : 01 juin 2025
Télétravail occasionnel
Expérience : > 1 an
Éducation : Bac +5 / Master
Compétences & expertises
Contenu généré
Reporting financier
Compétences en communication
Planification d’entreprise
Exchange
Excel

Cohabs Group SA
Cohabs Group SA

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Le poste

Descriptif du poste

As a Finance Analyst, you will play a key role in strategic financial planning and treasury management. You will work closely with the Finance team and other departments to ensure strong financial foundations as we scale. Your responsibilities will include:

  • Business Planning & Forecasting: Prepare and manage business plans aligned with company goals. Support financial forecasting, scenario analysis, and long-term strategic planning.

  • Cash Flow Management: Monitor daily liquidity, forecast cash flows, and ensure the company’s operations run smoothly.

  • Treasury Operations: Reconcile and track bank transactions, maintain accurate treasury records and ensure data integrity in the Treasury Management Tool.

  • Financial Reporting: Prepare clear and concise financial reports and presentations for internal and external stakeholders, including management, board members, and banking partners.

  • Risk Management: Assist with foreign exchange and interest rate hedging activities.

  • Cross-functional Collaboration: Liaise with internal teams and banking institutions to resolve treasury-related matters efficiently.

  • Process Improvement: Contribute to treasury-related projects, identify improvement opportunities, and support system enhancements.

  • Financing & Fundraising Support: Assist in debt and fundraising efforts, including the drafting of financial memorandums, project business plans, and follow-up of ongoing initiatives.


Profil recherché

What we’re looking for

  • A Master’s degree in Finance or equivalent.

  • Strong analytical and numerical skills with a solid understanding of financial modelling and forecasting.

  • A good grasp of accounting principles, treasury operations, and financial instruments.

  • Proficiency in Microsoft Excel and financial management tools.

  • Knowledge of banking systems and treasury software is a plus.

  • Strong communication skills, both written and verbal.

  • A structured, detail-oriented mindset with the ability to manage multiple priorities.

  • Entrepreneurial spirit, hands-on attitude, and a drive for continuous improvement.

  • Fluency in French and English is required.


Déroulement des entretiens

Introductory Call – Have an initial chat with Benoit, our Head of Treasury, to get to know each other and explore the role.

Deep Dive Interview – Meet with Benoit again, this time joined by Stéphanie, our VP Finance. Together, they’ll dig into your experience, skills, and alignment with the team.

Final Conversation – Wrap up with a strategic discussion with François, our CFO, to talk vision, fit, and next steps.