16 Emplois pour Finance - Casablanca
Finance Intern

Publié il y a 17 jours
Emploi consulté
Description De L'emploi
At Abbott, you have the opportunity to make a positive impact on the world through challenging and rewarding work as part of a highly successful and trusted organization that is shaping the future of health. Realize your potential!
**CORE JOB RESPONSIBILITIES**
+ Detailed SG&A analysis including department budgets by preparing monhtly tracker for actuals and performance vs plan
+ Follow up on monthly payments to vendors/suppliers and assure timely settlements for Abbott dues
+ Assist the FP&A manager in the performing weekly reporting "sales flash, LBEc"
+ Assist the FP&A manager in the performing month end close "actual reporting, preparing monthly reports (F.1.0., etc)
+ Assist the FP&A manager in the preparation of cash flow plan, LBEs'
+ Monitor monthly cash flow results and prepare comparison vs different scenarios
+ Track receivables and communicate with distributors to make sure payments are done timely.
**KEY SUCCESS FACTORS:**
Focus - Focus - Assist the finance Head and the FP&A Manager for the closings and reporting of the affiliate Budgeting & Reporting - Will have expert knowledge of finance processes and procedures as applied to a major department/ functional area and or part of the business, and ensure P&L & Cash Flow budget preparation and submission in the system Ensure corporate policies and procedures are implemented and where necessary, proper deviations are obtained to be in line with market conditions Will have professional financial skills extensive experience of applying financial solutions in a business environment. Having strong time management skills including organization, prioritization, planning and stress management to meet key goals of the position in the required timelines.
**QUALIFICATIONS**
BTS in Accounting or 1st degree (in commerce or Economics) Experience: Maximum Six (06) Months in Accountancy / financial analysis Knowledge in GAAP and/or local country reporting requirements Advanced level spreadsheet experience Multi-national exposure Fluent French language, in addition to English. Arabic a plus Strong systems background (GL system / Planning system / Microsoft) Very organized person with good time management skills Quality Orientation in deliverables
**Apply Now :**
+ Follow your career aspirations to Abbott for diverse opportunities with a company that can help you build your future and live your best life. Abbott is an Equal Opportunity Employer, committed to employee diversity.
+ Connect with us at , on Facebook at and on Twitter @AbbottNews and @AbbottGlobal
An Equal Opportunity Employer
Abbot welcomes and encourages diversity in our workforce.
We provide reasonable accommodation to qualified individuals with disabilities.
To request accommodation, please call or email
Responsable Finance
Aujourd'hui
Emploi consulté
Description De L'emploi
(9446)
Au Mazagan, nous personnalisons chaque aspect du séjour de nos invités pour les ravir et leur faire vivre l'attrait de la magie marocaine. Mazagan Beach & Golf Resort est une destination magique, un lieu où la grandeur se joint à la générosité, avec un éventail étonnant d'activités et de divertissements pour toute la famille sur les côtes de l'Atlantique.
En tant que **Responsable Finance Hôtel **(H/F), vous jouerez un rôle essentiel dans la gestion financière stratégique de notre resort. Votre mission consistera à coordonner et superviser la comptabilité générale et analytique, la trésorerie, ainsi que la politique financière à court, moyen et long terme. Vous veillerez à l'efficacité de nos opérations financières tout en maintenant le respect de nos procédures et standards.
**Responsabilités clés**:
En tant que membre clé de notre équipe de direction, vous aurez les responsabilités suivantes:
- Mettre en œuvre des techniques financières pour le développement et la protection de l'entreprise.
- Superviser la comptabilité générale et analytique.
- Gérer les procédures budgétaires de différents services, y compris les opérations de trésorerie et les règlements de dettes.
- Participer à la préparation des budgets et assurer un suivi rigoureux des réalisations.
- Élaborer des rapports financiers mensuels, trimestriels et annuels.
- Superviser les opérations de la caisse générale.
- Assurer la gestion des Capex, Opex et des inventaires.
- Analyser les indicateurs clés de performance et recommander des solutions pour améliorer les résultats.
- Réviser le P&L à la clôture.
- Contrôler la balance générale en effectuant des réconciliations mensuelles et en assurant le suivi des actions et pièces justificatives.
- Veiller à la conformité des déclarations fiscales, états financiers et comptables.
- Élaborer des prévisions de flux de trésorerie.
- Maintenir la conformité aux normes internes et réglementaires.
- Conseiller la Direction sur les contraintes fiscales, comptables et financières.
- Gérer les contrats et conventions pour garantir leur conformité aux cadres législatif et réglementaire.
- Superviser la gestion de la trésorerie et les relations bancaires.
- Diagnostiquer les risques opérationnels et renforcer les contrôles internes.
- Mettre en place des indicateurs et tableaux de bord pour faciliter le contrôle et le reporting.
- Centraliser les données administratives et financières.
- Superviser les missions d'audit et les reporting IFRS.
- Encadrer et animer les équipes administratives et financières.
- Maintenir une veille active sur les évolutions juridiques, réglementaires et fiscales.
**Profil**:
- Diplôme supérieur en Finance, Comptabilité ou domaine connexe.
- Expérience confirmée en gestion financière, idéalement dans l'industrie hôtelière ou du luxe.
- Solides compétences en leadership, gestion d'équipe et communication.
- Excellente compréhension des normes comptables et fiscales.
- Capacité à analyser les données financières, identifier les tendances et proposer des solutions.
- Orienté résultats, rigoureux et capable de travailler sous pression.
- Maîtrise des outils informatiques et logiciels de comptabilité.
- Maitrise du français et anglais.
Rejoignez une équipe authentique, créative, chaleureuse et professionnelle. Nous croyons au bonheur de nos invités, au-delà de tout ce qu'ils ont pu imaginer. Nous les épatons à chaque instant et créons des souvenirs qui dureront toute une vie. Vous serez au cœur de cette vision, qui consiste à innover en permanence pour offrir des expériences exceptionnelles et des souvenirs éternels.
Finance & Accounting Manager

Publié il y a 19 jours
Emploi consulté
Description De L'emploi
Casablanca
Job Description
Job Family Summary:
The Financial Analysis job family at Procter & Gamble offers a broad range of opportunities for growth and development as a business leader. Professionals in this field play a crucial role in providing decision-making guidance and leadership to the company, maximizing long-term profits, cash flow, and shareholder value through comprehensive financial analysis.Job Description:
As a Brand-Category Financial Analyst at Procter & Gamble, you will play a crucial role in identifying and developing value creation opportunities for various business categories. You will use your strong analytical skills to gather insights and translate them into actionable insights. Collaboration with cross-functional teams will be essential to implement plans effectively.
Key Responsibilities:
+ Implement small scale projects, conducting financial analysis to identify value creation opportunities for different business categories.
+ Collaborate with cross-functional teams to implement plans and build the organization
+ Translate analysis into actionable insights and recommendations.
+ Support business development and decision-making processes.
+ Monitor financial performance and provide accurate reports.
+ Continuously improve processes and identify opportunities for optimization.
+ Stay updated on industry trends and competitive landscape.
Job Qualifications
+ Bachelor's or Master's degree in Finance, Accounting, Economics, Business Administration, or a related field.
+ Strong analytical skills with the ability to gather insights from data.
+ Excellent communication skills to effectively translate analysis into actionable strategies.
+ Proven collaboration skills to work effectively with cross-functional teams.
+ Knowledge of financial analysis techniques and tools.
+ Familiarity with accounting principles and financial reporting.
+ Proficiency in Microsoft Excel and other data analysis software.
+ Ability to adapt to a fast-paced environment and manage multiple priorities, and opportunities for improvement.
About us
We produce globally recognized brands and we grow the best business leaders in the industry. With a portfolio of trusted brands as diverse as ours, it is paramount our leaders are able to lead with courage the vast array of brands, categories and functions. We serve consumers around the world with one of the strongest portfolios of trusted, quality, leadership brands, including Always®, Ariel®, Gillette®, Head & Shoulders®, Herbal Essences®, Oral-B®, Pampers®, Pantene®, Tampax® and more. Our community includes operations in approximately 70 countries worldwide. Visit to know more.
Our consumers are diverse and our talents - internally - mirror this diversity to best serve it. That is why we're committed to building a winning culture based on Inclusion and our ideal candidate is passionate about the same principle: you will join our daily effort of being "in touch" so we craft brands and products to improve the lives of the world's consumers now and in the future. We want you to inspire us with your unrivaled ideas.
We are committed to providing equal opportunities in employment. We do not discriminate against individuals on the basis of race, color, gender, age, national origin, religion, sexual orientation, gender identity or expression, marital status, citizenship, disability, veteran status, HIV/AIDS status, or any other legally protected factor.
Job Schedule
Full time
Job Number
R
Job Segmentation
Recent Grads/Entry Level (Job Segmentation)
Finance Reporting Associate
Aujourd'hui
Emploi consulté
Description De L'emploi
If you would like to work in a genuinely fast-paced and professional environment with
vision to become the number one choice for Africans making an automobile-related
transaction, this is the place.
We deliver services at the standards expected by our customers and implement new ideas
at the highest speed possible on our planet. We work hard, and we reward people who are
passionate enough to nurture this vision with us. Our ambition is to sustain value for our
shareholders, create meaning and purpose that truly engages our employees while ensuring
peace of mind for our customers.
We are pioneers in the auto technology space and are always at the forefront of developing
and launching innovative solutions in the market. Our goal is to continue to attract some of
the industry’s most innovative and entrepreneurial talent who recognize our growing
brand value and strong positioning long into the future.
ABOUT THE TEAM
Our Group CEO and the rest of our leadership team are driven, passionate individuals who
possess excellent credentials, have quality work experience across reputable companies
and have come together to do the most phenomenal work of their lives. With over 80 years
of combined experience and from varied backgrounds, our team shares the same vision and
common values.
PERSON FOCUS
Very results-oriented, well organized, hands-on, dynamic and with a proactive personality
that enjoys the challenge of growing the business. Brings excellent management capacity
and interpersonal skills to be able to collaborate effectively with both internal and external
stakeholders.
JOB SUMMARY:
The Financial Reporting Associate will be primarily responsible to manage Finance
operations to ensure efficient transaction processing, ensure continuous review of
financial, control and management information systems and procedures, implementing
improvements in consultation with the Group Finance Manager for Autochek.ESSENTIAL JOB FUNCTIONS:
- Preparation of monthly and annual financial reports
- Cashflow and Funds management
- Periodic inventory balance reviews and reconciliations
- Balance Sheet Reconciliation and Monthly Schedules
- Intercompany accounting and reconciliations
- Ad hoc reports to internal users as requested
- Collaborating with internal departments to reconcile any accounting discrepancies.
- Leading period end closing activities and financial statements audit
- Payroll statutory remittances, tax and other regulatory compliance
- Improving efficiencies and reducing costs across the business
- Manage year-end audit, and periodic regulatory reviews
- Monthly cash requests and budget management
- Develop, implement, and ensure compliance with internal financial and accounting
policies and procedures.
- Manage tax audits and investigation
- Assist in central finance operations management and control COMPETENCY PROFILE:
TECHNICAL
**REQUIREMENTS**:
KNOWLEDGE & SKILLS
REQUIRED
- Thoughtful and demonstrates good judgment and
strong decision-making based on accurate and
timely analysis
- Proven business management experience in an
unstructured and fast-paced environment
- Outstanding time management skills
- Results-oriented approach to work; willingness to do
whatever it takes to help the team
- Ability to identify and implement efficiencies and
process improvements
- Knowledge of economic and accounting principles
and practices, the financial markets, banking and the
analysis and reporting of financial data.
EDUCATIONAL
REQUIREMENT
- A Bachelor’s degree in accounting or equivalent
- A Master’s degree is an added advantage
- Professional/Chartered Accountant (required)
EXPERIENCE -Minimum of 4 years of Finance and accounting
experience with increasing levels of responsibility
- Extensive experience in financial reporting and -Experience working in a matrix, extremely dynamic,
fast-paced, results-oriented multi-country
environment
WHAT YOU WILL LEARN
You will learn to move fast, take calculated risks and learn
from failures.
You will develop core management strategies as well as
learn the importance of deep dives to resolve problems
across geographies. Your people management skill will be
tested and improved as you engage and interact with
colleagues to deliver quantifiable goals that give real
business value.
You will learn to measure and track output and results and
how to automate everything that you do.
WHAT WE OFFER
In addition to attractive compensation, you will have the
opportunity to work with a global leader. We offer a vibrant
culture, great work ambiance, super intelligent workforce
and a relaxed dress code. We invest in the development of
our diverse workforce. We aspire to leverage the qualities
and appreciate the unique competencies that each person
brings to the company. We are also committed to the
principles of Equal Employment Opportunities.
Type d'emploi : Temps plein, CDI
Assistant de Finance
Aujourd'hui
Emploi consulté
Description De L'emploi
1. Contact with accounting firms and provide relevant documents and information
2. Issue invoices and contact with
Stage en Finance
Aujourd'hui
Emploi consulté
Description De L'emploi
Intitulé du stage : Stagiaire en Analyse Financière
Durée : 4 mois
Lieu : casablanca
Missions principales:
- Analyser les données financières pour évaluer la performance de l’entreprise.
- Participer à la préparation des budgets et au suivi des écarts budgétaires.
- Collaborer à l’élaboration des tableaux de bord financiers.
- Réaliser des études de marché financier.
Profil recherché:
- Formation en économie, gestion, finance ou équivalent (niveau licence/master).
- Maîtrise des outils bureautiques (Excel avancé, PowerPoint).
- Connaissance de base en analyse financière.
- Esprit d’équipe, rigueur et discrétion.
Non rémunéré.
Type d'emploi : Stage, Apprentissage / Alternance
Durée du contrat : 4 mois
Business Support / Finance Admin
Aujourd'hui
Emploi consulté
Description De L'emploi
You will be responsible for administrative tasks and contribute to making the company a better place to work.
This is a full-time varied role with lots of exposure to the different duties within the business. We ask for 40 hours per week and you can choose your own schedule.
RESPONSIBILITIES
**Duties**:
- Assisting with Bookkeeping
- PA duties
- Diary Management
- Tracking and managing staff budgets and reimbursements
- Accurately producing financial reports and budgets
- Verify and record transactions
- Resolve
Soyez le premier informé
À propos du dernier Finance Emplois dans Casablanca !
Emea Finance Automation Analyst
Aujourd'hui
Emploi consulté
Description De L'emploi
**Location - Kraków**:
**Why this is job for you**:
The Global Finance Operations Services Team is looking for an engaged and experienced analyst to support Finance Organization in developing various automation tools in line with project management and product development methodology.
Our ideal team member has technical knowledge, but also a natural curiosity and creative mindset. As EMEA Finance Automation Analyst, you will be part of global team and report to the Global Operations Manager. You will interact with all departments across the organization to support standardization and optimization by delivering automation solutions.
**You will be responsible for**:
- Developing analytical and automation tools to support Finance in standardization and optimization initiatives
- Enabling smarter business processes with valuable insights
- Structuring, developing, optimizing and sustaining finance processes
- Proposing solutions to stakeholders and implementing improvements
- Contributing ideas and solutions to enhance design and deliverables
- Encouraging creative and innovative solution adoption by defining, designing and deploying
- Assuring technical documentation for automation solutions in place
- Collaborating with PMO and DI Team members for projects completions
- Promoting automation solutions in Finance and beyond
- Providing technical support
**You have**:
- Bachelor degree in Computer Science, Business Administration, Finance
- Strong Technological background
- Knowledge of MS Office 365 automation and analytical tools (preferably Share Point, Power Bi)
- Knowledge of other analytical and automation tools would be an asset (Power Automate)
- Knowledge of project management including Agile and ME Lean tools and techniques would be an asset
- Knowledge of finance would be an asset
- Excellent written and verbal communication skills in English
- Customer centric approach
The information necessary in the recruitment process is: name, surname, contact details, education, previous employment record and qualifications.
Any supplementary information you provide is processed on the basis of your consent.
To see Privacy Notice click here**:Privacy notice
Finance & Investment Analyst Intern
Aujourd'hui
Emploi consulté
Description De L'emploi
LixCap is looking for a Junior Finance and Investment Analyst to support the Finance and Investment Team with different daily tasks such as financial models’ development, market research and analysis, presentation/reports development, etc.
- **Responsibilities**:_
- Gathering, validating, and analyzing data that influences high-level public and private sector development decisions and strategies.
- Financial modelling includes research tasks to identify main assumptions to be used as well as financial analysis of comparable companies per each project’s industry.
- Contributing to the financial structuration of infrastructure projects under a project finance scheme,
- Investment funds structuring, fund raising operations, due diligence process/preparation, the development of investment decks, etc.,
- Reporting financial models’ findings and analysis in written report or presentation format and communicating these findings professionally and efficiently to supervisors and occasionally stakeholders/clients or partners in virtual or in person meetings.
- **Requirements**:_
- Master’s Degree in finance, investment, or another finance-related field.
- Previous knowledge in financial modeling and basic financial research and analytical skills.
- A good understanding of accounting concepts (both US GAAP and Moroccan accounting) and the mechanics of financial statements.
- Strong desire to work and learn modeling of financial and operational aspects of related projects.
- A good understanding of the Moroccan macroeconomic context and indicators.
- Proficiency in working with Microsoft Excel as a data analysis tool, and strong fluency with the use of its formulas and functions (Knowledge of VBA is highly valued).
- Ability to use advanced features of Microsoft Word, Excel, and PowerPoint.
- Good communication skills and basic writing and editing skills both in French and English.
- Great attention to detail and capacity to manage significant volume of data.
- Ability to work independently and support other team members as well.
- Intellectual curiosity and high level of motivation and desire to learn.
- **Benefits**:_
- Growth opportunities inside the company for high-performing and motivated team members.
- Fully remote work
- **To Apply**_
**Job Type**: Internship
Offre de Stage en Finance
Aujourd'hui
Emploi consulté
Description De L'emploi
- Publiée le: 16 Aug-15:16
- Annonce N°:
Bonjour,
- Domaine : Banque / Finance / Assurance
- Fonction : Comptabilite/Gestion/Audit/Finance
- Contrat : Stage
- Entreprise : Alk
- Salaire : A discuter
- Niveau d'études : Bac plus 5
- Annonceur:
- Fatima Zahra