Titre de fonction: Head of Accounting – Tax & Treasury
Type de Job: Permanent
Catégorie d'emploi: Plein-temps
Industrie: Banking & Financial Services
Expertise: Human Resources
Localisation: Geneva, Switzerland
Offre publiée: 19/09/2025
Numéro de l'offre: 38506
Nom du contact: Charlotte Boulithe
Numéro de téléphone: +41 22 718 03 10
Email: c.boulithe@lotuspartners.ch

Description de poste

 

For one of our clients, a Financial Company based in Geneva, we are looking for a:

 

HEAD OF ACCOUNTING – TAX & TREASURY

 

Job description

  • Oversee the accounting function for Swiss entities and supervise accounting for foreign entities, ensuring compliance with Swiss and Group standards.
  • Prepare monthly and annual closings, reconciliations, statutory accounts, and consolidation packs.
  • Coordinate the annual financial audit.
  • Supervise supplier payments, staff expenses, and intercompany invoicing.
  • Ensure reinvoicing of expenses to Group entities and funds.
  • Lead and manage the accounting team.
  • Oversee direct and indirect tax declarations for Swiss entities (corporate, VAT, withholding tax, stamp duty).
  • Supervise tax calculations and reporting for foreign entities.
  • Manage Group treasury, including cash management, hedging, cash flow forecasts, and liquidity monitoring.
  • Prepare monthly regulatory capital calculations for Swiss entities and oversee foreign regulated entities.
  • Maintain reports and dashboards on treasury, FX, and securities positions.
  • Lead the implementation of a new accounting system and treasury management system.
  • Drive process improvements and system enhancements to increase efficiency and compliance.
  • Collaborate closely with other internal teams and contribute to ad hoc projects.

 

Required profile

  • Swiss certification in accounting; a qualification in Swiss taxation is a plus.
  • Strong knowledge of Swiss GAAP, Swiss tax regulations, and treasury operations.
  • Familiarity with Swiss regulatory capital and liquidity requirements.
  • Minimum 10 years’ experience in accounting and taxation in the Swiss financial services industry, ideally in alternative asset management/private equity.
  • Strong Excel skills and proficiency with accounting and treasury systems.
  • Bilingual in French and English.
  • Hands-on, organised, meticulous, and rigorous, with a strong focus on quality and deadlines.
  • Ability to work independently and collaboratively across departments.
  • Motivated, agile, and adaptable to fast-paced environments.
  • Excellent interpersonal and communication skills.
  • Strong ethical values and sense of responsibility.

 

 

All files will be treated with the utmost confidentiality.