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Processing invoices, employee expenses, and bank reconciliations for a finance department. Fluency in French required. Real work experience with direct cash flow responsibility.
Requirements
- Currently enrolled in or recently graduated from Bachelor’s/Master’s in Finance, Accounting, Economics, or Business Administration
- Strong proficiency in Microsoft Excel (VLOOKUPs, Pivot Tables, basic formulas)
- Familiarity with basic accounting principles
- Previous exposure to accounting software or ERPs (plus, not required)
- Fluency in French (written and spoken)
- Fluency in English (written and spoken)
- Working knowledge of German (bonus)
- Curious mindset with willingness to learn and take initiative
- Highly organized, rigorous, and attentive to detail
- Team player with good communication skills and positive attitude
Tasks
- Assist with daily Accounts Payable and Receivable tasks
- Enter data, match invoices, and process employee expenses
- Perform weekly and monthly bank and credit card reconciliations
- Support month-end closing by preparing journal entries
- Gather necessary documentation for month-end closing
- Maintain clean financial databases
- Prepare data for management reports and KPI tracking
- Conduct ad-hoc financial analysis using Excel
- Identify inefficiencies in finance processes
- Draft documentation for internal finance procedures
- Provide general administrative support to the Finance department
- Organize financial files for audit readiness
Education
- Master's degree
Languages
- French – Business Fluent
- English – Business Fluent
- German – Basic
Tools & Technologies
- Microsoft Excel
Benefits
Other Benefits
- Real work experience
- Visible, measurable results
Purpose-Driven Work
- Direct responsibility for cash flow
Mentorship & Coaching
- Hands-on guidance from manager
Startup Environment
- Supportive learning environment
Learning & Development
- Finance skill development
Informal Culture
- Vibrant, diverse team
- Fast-paced, international setting
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Processing invoices, employee expenses, and bank reconciliations for a finance department. Fluency in French required. Real work experience with direct cash flow responsibility.
Requirements
- Currently enrolled in or recently graduated from Bachelor’s/Master’s in Finance, Accounting, Economics, or Business Administration
- Strong proficiency in Microsoft Excel (VLOOKUPs, Pivot Tables, basic formulas)
- Familiarity with basic accounting principles
- Previous exposure to accounting software or ERPs (plus, not required)
- Fluency in French (written and spoken)
- Fluency in English (written and spoken)
- Working knowledge of German (bonus)
- Curious mindset with willingness to learn and take initiative
- Highly organized, rigorous, and attentive to detail
- Team player with good communication skills and positive attitude
Tasks
- Assist with daily Accounts Payable and Receivable tasks
- Enter data, match invoices, and process employee expenses
- Perform weekly and monthly bank and credit card reconciliations
- Support month-end closing by preparing journal entries
- Gather necessary documentation for month-end closing
- Maintain clean financial databases
- Prepare data for management reports and KPI tracking
- Conduct ad-hoc financial analysis using Excel
- Identify inefficiencies in finance processes
- Draft documentation for internal finance procedures
- Provide general administrative support to the Finance department
- Organize financial files for audit readiness
Education
- Master's degree
Languages
- French – Business Fluent
- English – Business Fluent
- German – Basic
Tools & Technologies
- Microsoft Excel
Benefits
Other Benefits
- Real work experience
- Visible, measurable results
Purpose-Driven Work
- Direct responsibility for cash flow
Mentorship & Coaching
- Hands-on guidance from manager
Startup Environment
- Supportive learning environment
Learning & Development
- Finance skill development
Informal Culture
- Vibrant, diverse team
- Fast-paced, international setting
Like this job?
BetaYour Career Agent finds similar jobs for you every day.
About the Company
Batgroup
Industry
FinancialServices
Description
Batmaid aims to be the global leader in well-being at home through high-quality cleaning services, operating from Switzerland and expanding across Europe.
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