Posting Description: Senior Technical Accounting Administrator with Dutch
Are you a detail oriented professional with a background in finance, fluent in both Dutch and English? Do you enjoy working with data in Excel and ensuring everything is accurate and compliant? If so, we are looking for you! We are currently seeking a Senior Technical Accounting Administrator to join our Commercial Risk department. In this role, you will support and facilitate finance activities in a dynamic corporate environment. The position is based in our Krakow office, with the possibility to work in a hybrid model. Aon is in the business of better decisions
At Aon, we shape decisions for the better to protect and enrich the lives of people around the world. As an organization, we are united through trust as one inclusive team and we are passionate about helping our colleagues and clients succeed. What the day will look like* Perform daily, weekly, and monthly cash clearing and bank reconciliation processes for multiple accounts and entities * Work with Excel files and financial data, ensuring accuracy, completeness, and consistency * Prepare, verify, and reconcile financial information and documentation * Assist with month-end and year-end closing activities as required * Cooperate closely with local and international stakeholders in Dutch and English * Contribute to process improvements and standardization of financial procedures * Ensure compliance with internal guidelines and relevant policies * Investigate, analyze, and resolve complex reconciling items, aged breaks, and discrepancies in a timely manner * Own the accounting for cash-related transactions, ensuring compliance with internal accounting policies * Partner with Treasury, Operations, Billing, and Accounts Receivable/Payable teams to ensure end-to-end integrity of cash flows * Identify and implement process improvements and automation opportunities
How this opportunity is different
We are seeking a skilled Senior Technical Accounting Administrator to join our Cash Clearing team. This is a key role within our Finance organization, responsible for ensuring the integrity, accuracy, and timeliness of cash-related accounting and reconciliations across multiple entities and banking platforms.
You will play a vital role in performing complex cash clearing processes, ensuring accurate execution of daily activities, driving continuous improvement in controls and reporting, and partner closely with Operations, Treasury, and broader Finance teams. This position is ideal for a detail-oriented professional who enjoys solving complex reconciliation issues, improving processes, and working in a fast-paced, collaborative environment. Skills and experience that will lead to success
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