At METLEN Energy & Metals, we are catalysts for a sustainable future, positioned at the forefront of the energy transition while being a reference point for competitive green metallurgy at both the European and global levels. We are a global industrial and energy company operating across two highly interconnected and complementary sectors: Energy and Metals. With a consolidated turnover of €5,683 million and an EBITDA of €1,080 million, along with a workforce of over 7,627 dedicated individuals, we drive success through cutting-edge technology and diverse talent.
We are committed to embracing new state-of-the-art technologies and advancements, propelling us towards a cleaner, brighter tomorrow. Our positive footprint extends across five continents, creating a lasting impact. At METLEN, we foster a culture of resilience, challenge, respect, excellence, and change, empowering our diverse workforce to achieve remarkable outcomes.
We are currently looking for an Assistant Accountant – Cash Flow to join our Finance team in Athens, Greece.
By joining this role, you will support the day-to-day cash flow operations of the business, ensuring the accurate recording, monitoring, and reconciliation of cash transactions. You will work closely with multiple stakeholders to support financial controls, reporting activities, and the smooth execution of cash management processes.
Your role will encompass:
- Monitor and record daily cash movements and bank transactions
- Perform bank reconciliations and investigate outstanding items
- Process accounting entries related to cash transactions and maintain supporting documentation
- Support payment execution activities in accordance with internal policies and procedures
- Assist in monitoring bank account balances and fund transfers
- Contribute to month-end closing activities, reconciliations, and financial reporting
- Maintain accurate records and documentation related to cash flow activities
- Support internal and external audit requests by providing the required information
- Collaborate with internal departments to resolve discrepancies and improve processes
- Contribute to the continuous improvement of cash flow controls and reporting
What you bring to the role:
- Bachelor's degree in Accounting, Finance, Economics, or a related field
- 2+ years of working experience in Accounting, Cash Flow, Accounts Payable, Banking, or a similar finance role
- Good understanding of accounting principles and financial processes
- Proficiency in Microsoft Office, particularly Excel
- Experience with SAP or other accounting systems
- Good command of English, both written and verbal
Share the same Value Based Behaviors:
- People & Personal Growth
- Results Orientation & Safety Excellence
- Collaboration & Trust
- Empathy & Effective Communication
- Flexibility & Adaptability
Your Benefits:
- Competitive remuneration package
- Ticket Restaurant Card
- Group Health Insurance Plan
- Preferential household electricity plan
- Pension Plan