Gbs Emea Book To Report Subs Accountant

07 set - Genova
EssilorLuxottica Group

Descrizione dell’offerta di lavoro
If you’ve worn a pair of glasses, we’ve already met.
We are a global leader in the design, manufacture, and distribution of ophthalmic lenses, frames, and sunglasses. We offer our industry stakeholders in over 150 countries access to a global platform of high-quality vision care products [such as the Essilor brand, with Varilux, Crizal, Eyezen, Stellest and Transitions], iconic brands that consumers love [such as Ray-Ban, Oakley, Persol, Oliver Peoples, Vogue Eyewear and Costa], as well as a network that offers consumers high-quality vision care and best-in‑class shopping experiences [such as Sunglass Hut, LensCrafters, Salmoiraghi & Viganò and the GrandVision network], and leading e-commerce platforms.
Join our global community of over 190,000 dedicated employees around the world in driving the transformation of the eyewear and eyecare industry.
Discover more by following us on LinkedIn
Your Role
We are looking for a motivated Book To Report Specialist to join us at our Operations Headquarter in Agordo (BL),



where the history of our Company got started.
The Global Business Service is a Shared Service Center network that provides Accounting services to our global subsidiaries. The EMEA Shared Service Center, based in Agordo (BL) is accountable for the following processes: Accounts Payable, Accounts Receivable, Master Data, Indirect Taxes and Balance Sheet Assets for both Italian companies and European subsidiaries.
Main Responsabilities:
As Book to Report Specialist, you will join the GBS Team and manage activities such as:
- Month end accounting closing activities (accruals, prepayments, inventory, payroll)
- Ensure quality and monthly analysis on financial reports by performing key checks in the account matrix risk such as banks, fixed asset, prepayments, accruals, payroll and taxes accounts
- Timely proceed with Hyperion reporting fulfilling all required monthly, quarterly and yearly’ forms
- Balance sheet accounts reconciliatio

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