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Amsterdam
1 week ago
Accountant - Fixed-Term Contract with End Date: 31 August 2027 logo

Accountant - Fixed-Term Contract with End Date: 31 August 2027

Prologis

Amsterdam
1 week ago
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Accountant - Fixed-Term Contract with End Date: 31 August 2027

Prologis, the global leader in logistics real estate, is seeking an Accountant for a fixed-term contract ending 31 August 2027. The role involves cash and intercompany accounting, reconciliations, and close activities, partnering with various teams across 1,200+ business units. Requires 3+ years of accounting experience, advanced spreadsheet skills, and fluency in English.

AI-enabledHybridFull-timeMid LevelGeneral Ledger AccountingCash Accounting

Accountant - Fixed-Term Contract with End Date: 31 August 2027

Prologis, the global leader in logistics real estate, is seeking an Accountant for a fixed-term contract ending 31 August 2027. The role involves cash and intercompany accounting, reconciliations, and close activities, partnering with various teams across 1,200+ business units. Requires 3+ years of accounting experience, advanced spreadsheet skills, and fluency in English.

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AI-enabledHybridFull-timeMid LevelGeneral Ledger Accounting

Salary

Not specified

Work Location

Amsterdam, North Holland, Netherlands, NL

Work Model

Hybrid

Experience Required

3 years

Employment Type

Full-time

Experience Level

Not Applicable

Contract Length

42 months

Core Qualifications

Technical (Must-have)
General Ledger AccountingCash AccountingIntercompany AccountingAccount ReconciliationsMonth-End CloseQuarter-End CloseSpreadsheetsERP SystemsEnglishCommunicationStakeholder ManagementProcess ImprovementAutomationTreasury Accounting
Soft Skills
CommunicationStakeholder ManagementIndependencePrioritizationFast LearningCollaborationSound JudgmentCreative ThinkingAccountability

Preferred Qualifications

Technical (Nice-to-have)
SigmaAI ToolsEmerging Technology

Key Responsibilities

  • •Own daily, weekly, and monthly bank reconciliations, ensuring timely completion, investigating complex reconciling items, and driving issues through to resolution.
  • •Manage Treasury accounting activities, including accurate general ledger classification of bank transactions and enhancement of mapping rules to increase automation and reduce manual intervention.
  • •Oversee intercompany recharges, payments, collections, and key In-House Bank activities, coordinating with Treasury and accounting teams to resolve exceptions, failed payments, and non-standard transactions.
  • •Reconcile Cash and Intercompany general ledger balances, investigate and explain variances, define corrective actions, and ensure accruals and adjustments are recorded accurately.
  • •Own monthly and quarterly close activities for Cash & Intercompany Accounting, ensuring accurate and timely completion in line with the corporate closing calendar.
  • •Act as a key point of contact for audit, statutory, and management requirements, supporting Controllers, Accounting Management, and internal and external auditors across 1,200+ business units and six ownership structures.
  • •Drive process improvement across Cash & Intercompany Accounting by partnering with Tax, Legal, Treasury, and Accounting stakeholders to resolve complex issues, strengthen controls, and identify opportunities for automation, standardization, and efficiency.
AccountantFixed-Term ContractCash AccountingIntercompany AccountingReconciliationsClose ActivitiesERPTreasuryLogistics Real EstateHybrid
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