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                          89 results for Financial Audit jobs in Kortenberg within a 30 km radius

                          Business Controller - International Company in Leuven

                          Sander Brussels
                          Leuven
                          Partially remote
                          2 to 4 years of experience in controlling, financial analysis, or audit The ideal candidate is someone who enjoys understanding the story behind the numbers and translating financial data into meaningful insights for the business. Working closely with the finance leadership team, you will act as a key link between operational performance and financial results. You will contribute to financial planning, performance monitoring, and decision support across several European entities. Financial Reporting & Analysis * Participate in monthly, quarterly, and annual financial closing activities * Provide financial insights and explanations to support business decisions * Work closely with operational teams to align financial planning with business realities * Assist in improving financial models used for cash flow forecasting * Support business leaders in understanding financial performance and cost drivers
                          2 to 4 years of experience in controlling, financial analysis, or audit The ideal candidate is someone who enjoys understanding the story behind the numbers and translating financial data into meaningful insights for the business. Working closely with the finance leadership team, you will act as a key link between operational performance and financial results. You will contribute to financial planning, performance monitoring, and decision support across several European entities. Financial Reporting & Analysis * Participate in monthly, quarterly, and annual financial closing activities * Provide financial insights and explanations to support business decisions * Work closely with operational teams to align financial planning with business realities * Assist in improving financial models used for cash flow forecasting * Support business leaders in understanding financial performance and cost drivers
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                          Coordinate with the external and provide support during financial audits. You will work in an inspiring environment where financial discipline and administrative management come together to support the organization's strategic goals. You will be at the heart of financial operations while ensuring the smooth administrative and logistical functioning of the office. * Collaborate with the to prepare the master budget and present financial reports.
                          Coordinate with the external and provide support during financial audits. You will work in an inspiring environment where financial discipline and administrative management come together to support the organization's strategic goals. You will be at the heart of financial operations while ensuring the smooth administrative and logistical functioning of the office. * Collaborate with the to prepare the master budget and present financial reports.
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                          Business Controller : Group Vision & Strategic Impact

                          Austin Bright
                          Auderghem
                          Partially remote
                          Easy Apply
                          Operating internationally and structured around several operational and industrial entities, the company combines financial stability, long-term vision, and a collaborative corporate culture. * Lead the monthly consolidation and financial reporting for management. * Prepare financial analyses and reporting materials for decision-making committees. * Ensure compliance with accounting standards and internal/external audit principles. * Participate in optimizing and harmonizing financial processes and tools.
                          Operating internationally and structured around several operational and industrial entities, the company combines financial stability, long-term vision, and a collaborative corporate culture. * Lead the monthly consolidation and financial reporting for management. * Prepare financial analyses and reporting materials for decision-making committees. * Ensure compliance with accounting standards and internal/external audit principles. * Participate in optimizing and harmonizing financial processes and tools.
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                          They are looking for a true financial partner who can provide clear insights and contribute actively to performance monitoring and strategic decision-making. * Manage monthly closings and ensure the accuracy of financial data (daily bookings handled by a junior accountant). * Prepare monthly, quarterly, and annual financial reports for management. * Perform ad hoc financial analyses (investments, pricing strategies, specific projects). Minimum 3-5 years of experience in reporting, controlling, or audit. * Strong knowledge of monthly closings and financial reporting. Autonomous, analytical, and confident in presenting financial insights to management and commercial teams. At Austin Bright, we are a team of professional and dedicated specialized in the recruitment of financial profiles.
                          They are looking for a true financial partner who can provide clear insights and contribute actively to performance monitoring and strategic decision-making. * Manage monthly closings and ensure the accuracy of financial data (daily bookings handled by a junior accountant). * Prepare monthly, quarterly, and annual financial reports for management. * Perform ad hoc financial analyses (investments, pricing strategies, specific projects). Minimum 3-5 years of experience in reporting, controlling, or audit. * Strong knowledge of monthly closings and financial reporting. Autonomous, analytical, and confident in presenting financial insights to management and commercial teams. At Austin Bright, we are a team of professional and dedicated specialized in the recruitment of financial profiles.
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                          Experience : Minimum 2 years of experience in management controlling, financial controlling, audit, or a similar role. Have you already taken your first steps in controlling or audit and are you now looking for the next step in your career? Rather than operating with a heavy and siloed financial structure, the organization promotes an agile and collaborative approach, where every member of the finance team actively contributes to strategic thinking. As a Junior Business Controller, you will be involved in monitoring the company's financial performance and supporting financial analysis. You will contribute to the preparation of monthly reporting, the collection and consolidation of financial data, and the analysis of variances between actual results and forecasts.
                          Experience : Minimum 2 years of experience in management controlling, financial controlling, audit, or a similar role. Have you already taken your first steps in controlling or audit and are you now looking for the next step in your career? Rather than operating with a heavy and siloed financial structure, the organization promotes an agile and collaborative approach, where every member of the finance team actively contributes to strategic thinking. As a Junior Business Controller, you will be involved in monitoring the company's financial performance and supporting financial analysis. You will contribute to the preparation of monthly reporting, the collection and consolidation of financial data, and the analysis of variances between actual results and forecasts.
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                          Maintain and proactively develop other keyInvestor Relationsmanagement toolssuch as the Investor Relations contact database, consensus analysis, Eurofins network financial model and peer group analysis. * Educational Background: Master's degree in Business Administration, Finance or Accounting from a top university, or other scientific or numerate discipline if youcan demonstrate experience in financial markets or in a finance role at a corporate.
                          Maintain and proactively develop other keyInvestor Relationsmanagement toolssuch as the Investor Relations contact database, consensus analysis, Eurofins network financial model and peer group analysis. * Educational Background: Master's degree in Business Administration, Finance or Accounting from a top university, or other scientific or numerate discipline if youcan demonstrate experience in financial markets or in a finance role at a corporate.
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                          No match yet? There are 83 more jobs that could match your search

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                          To achieve our mission, we are strengthening our Finance & Accounting team with a Financial Analyst. You support our organisation with reliable financial insights and play an active role in optimising processes and reporting. Your analytical approach helps to underpin strategic decisions and ensures a robust financial operation. * You draw up periodic forecasts, budgets and financial analyses that steer strategic choices. * You develop, optimise and automate financial processes and systems to improve efficiency and accuracy. * You provide support during external audits, tax returns and due diligence activities. * You manage the cash flow and fixed term accounts to ensure a healthy financial operation. * You have at least three years of experience in a financial role and are motivated to continue developing within Finance and Accounting.
                          To achieve our mission, we are strengthening our Finance & Accounting team with a Financial Analyst. You support our organisation with reliable financial insights and play an active role in optimising processes and reporting. Your analytical approach helps to underpin strategic decisions and ensures a robust financial operation. * You draw up periodic forecasts, budgets and financial analyses that steer strategic choices. * You develop, optimise and automate financial processes and systems to improve efficiency and accuracy. * You provide support during external audits, tax returns and due diligence activities. * You manage the cash flow and fixed term accounts to ensure a healthy financial operation. * You have at least three years of experience in a financial role and are motivated to continue developing within Finance and Accounting.
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                          Support budgeting, financial reporting, payroll accounting and invoicing * Assist the in preparing the master budget and presenting financial reports * Liaise with the external and support audit processes * Gain broad experience by handling a variety of finance-related tasks from budgeting and reporting to payroll and audits while also managing key administrative functions
                          Support budgeting, financial reporting, payroll accounting and invoicing * Assist the in preparing the master budget and presenting financial reports * Liaise with the external and support audit processes * Gain broad experience by handling a variety of finance-related tasks from budgeting and reporting to payroll and audits while also managing key administrative functions
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                          You monitor compliance with the information security policy through assessments, audits and risk analyses. * You support broad compliance and administrative obligations, including requests from financial institutions, insurers, auditors, accountants and public authorities. * You coordinate participation in compliance and audit requests from suppliers and other parties DNS Belgium works with.
                          You monitor compliance with the information security policy through assessments, audits and risk analyses. * You support broad compliance and administrative obligations, including requests from financial institutions, insurers, auditors, accountants and public authorities. * You coordinate participation in compliance and audit requests from suppliers and other parties DNS Belgium works with.
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                          NEW
                          Easy Apply
                          Monthly & Year-End Closings: assisting in financial report preparation and analysis, supporting internal and external audits. As a Trilingual GL Accountant on a 1-year fixed-term contract, you will actively support the daily financial management and accounting operations of the Benelux entities and, occasionally, France. * Administrative Support & Process Improvement: updating master data (customers, suppliers, items), organizing financial documentation, identifying opportunities to improve processes and administrative efficiency.
                          Monthly & Year-End Closings: assisting in financial report preparation and analysis, supporting internal and external audits. As a Trilingual GL Accountant on a 1-year fixed-term contract, you will actively support the daily financial management and accounting operations of the Benelux entities and, occasionally, France. * Administrative Support & Process Improvement: updating master data (customers, suppliers, items), organizing financial documentation, identifying opportunities to improve processes and administrative efficiency.
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                          The structure is agile, allowing everyone to actively contribute to financial projects and process improvements. * Participate in monthly and annual closings and financial reporting. * Support internal and external audits. * Suggest improvements to financial processes. * Progress towards additional responsibilities: international reporting, budget monitoring, and financial forecasting. Experience in reporting, budgeting, and audits is a plus.
                          The structure is agile, allowing everyone to actively contribute to financial projects and process improvements. * Participate in monthly and annual closings and financial reporting. * Support internal and external audits. * Suggest improvements to financial processes. * Progress towards additional responsibilities: international reporting, budget monitoring, and financial forecasting. Experience in reporting, budgeting, and audits is a plus.
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                          The Finance Manager will oversee the financial management of the European operations and act as a central point of coordination between regional activities and the global finance organization. This position requires a hands-on and strategic professional capable of managing accounting, compliance, and financial operations while also supporting business decisions in a fast-moving international environment. Financial Leadership * Lead and coordinate regional finance activities including accounting, tax compliance, treasury, and financial operations * Ensure alignment between regional processes and global financial policies - Accounting & Financial Operations * Ensure financial reporting complies with local statutory requirements and international accounting standards * Support the preparation of consolidated financial information for headquarters - Compliance & Audit
                          The Finance Manager will oversee the financial management of the European operations and act as a central point of coordination between regional activities and the global finance organization. This position requires a hands-on and strategic professional capable of managing accounting, compliance, and financial operations while also supporting business decisions in a fast-moving international environment. Financial Leadership * Lead and coordinate regional finance activities including accounting, tax compliance, treasury, and financial operations * Ensure alignment between regional processes and global financial policies - Accounting & Financial Operations * Ensure financial reporting complies with local statutory requirements and international accounting standards * Support the preparation of consolidated financial information for headquarters - Compliance & Audit
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                          Preparing financial information for project reporting and budgets * Collaborating with internal teams on audits, tax-related documentation and various ad‑hoc assignments
                          Preparing financial information for project reporting and budgets * Collaborating with internal teams on audits, tax-related documentation and various ad‑hoc assignments
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                          The Belgian entity is currently in a growth phase and is building a more independent, local financial management structure. * You monitor financial flows and ensure the quality and accuracy of all accounting processes. * You work closely with the Benelux Finance team and act as the main contact for audits.
                          The Belgian entity is currently in a growth phase and is building a more independent, local financial management structure. * You monitor financial flows and ensure the quality and accuracy of all accounting processes. * You work closely with the Benelux Finance team and act as the main contact for audits.
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                          NEW
                          Drive financial excellence and strategic growth as the next Head of Finance in the insurance sector, based in Brussels. This is a unique opportunity for an experienced finance professional to lead and shape the financial operations of a dynamic insurance organization, ensuring accurate reporting, regulatory compliance, and the strategic use of financial insights while fostering a high-performing finance team. * Supervise financial closings and regulatory reporting, ensuring full compliance with applicable laws and standards * Prepare budgets, forecasts, monitor profitability, and deliver strategic financial analyses with the development of management dashboards * Manage daily treasury operations and monitor financial and real estate assets * Timely and accurate reporting with no major audit findings - This role offers the chance to make a tangible impact as a Head of Finance, shaping both the ...
                          Drive financial excellence and strategic growth as the next Head of Finance in the insurance sector, based in Brussels. This is a unique opportunity for an experienced finance professional to lead and shape the financial operations of a dynamic insurance organization, ensuring accurate reporting, regulatory compliance, and the strategic use of financial insights while fostering a high-performing finance team. * Supervise financial closings and regulatory reporting, ensuring full compliance with applicable laws and standards * Prepare budgets, forecasts, monitor profitability, and deliver strategic financial analyses with the development of management dashboards * Manage daily treasury operations and monitor financial and real estate assets * Timely and accurate reporting with no major audit findings - This role offers the chance to make a tangible impact as a Head of Finance, shaping both the ...
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                          Assist clients during VAT audits and manage discussions with the authorities * Collaborate closely with colleagues from other service lines (corporate tax, legal, accounting, audit) * Minimum 2 years of relevant experience in VAT, accounting or financial advisory
                          Assist clients during VAT audits and manage discussions with the authorities * Collaborate closely with colleagues from other service lines (corporate tax, legal, accounting, audit) * Minimum 2 years of relevant experience in VAT, accounting or financial advisory
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                          Are you ready to take on a key leadership role in the financial operations of a dynamic real estate organization? Based in the heart of Brussels, this exciting opportunity offers you the chance to oversee and optimize financial processes for a prominent . As Finance Manager, you will play a key role in shaping the company's financial strategy, working closely with local and international teams. In this pivotal position, you will manage all financial and accounting activities, ensuring compliance with Belgian regulations and delivering precise reporting to . * Prepare detailed financial reports for the Board of and Group headquarters. * Prepare consolidated financial statements and support year-end closing procedures. * Manage financial accounting tasks such as reporting, budgeting, cash flow forecasting and projections.
                          Are you ready to take on a key leadership role in the financial operations of a dynamic real estate organization? Based in the heart of Brussels, this exciting opportunity offers you the chance to oversee and optimize financial processes for a prominent . As Finance Manager, you will play a key role in shaping the company's financial strategy, working closely with local and international teams. In this pivotal position, you will manage all financial and accounting activities, ensuring compliance with Belgian regulations and delivering precise reporting to . * Prepare detailed financial reports for the Board of and Group headquarters. * Prepare consolidated financial statements and support year-end closing procedures. * Manage financial accounting tasks such as reporting, budgeting, cash flow forecasting and projections.
                          more
                          Easy Apply
                          You ensure strategic objectives are achieved within timelines and budget, while guaranteeing efficient, high-quality scheduling of inspections, audits, and services in line with customer agreements. You monitor your department's financial results, identify deviations, and make adjustments as needed to achieve objectives.
                          You ensure strategic objectives are achieved within timelines and budget, while guaranteeing efficient, high-quality scheduling of inspections, audits, and services in line with customer agreements. You monitor your department's financial results, identify deviations, and make adjustments as needed to achieve objectives.
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                          Regulatory Liaison Experience: Proven ability to engage with regulatory authorities (i.e. EMA, ECHA, NCAs), draft regulatory responses, facilitate audits, and for the company in policy discussions. * Quality Assurance: Direct support for compliance audits, corrective actions, and continuous improvement initiatives.
                          Regulatory Liaison Experience: Proven ability to engage with regulatory authorities (i.e. EMA, ECHA, NCAs), draft regulatory responses, facilitate audits, and for the company in policy discussions. * Quality Assurance: Direct support for compliance audits, corrective actions, and continuous improvement initiatives.
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                          NEW
                          Be the central QA point of contact for the organization for investigations / deviations / out-of-specifications / audit observations associated with the assigned vendors. * Have the overview of the company audit and HA inspections related to the vendors. Track and follow-up on Audit observation and CAPA plan implementation at the vendor. * Support on customer audits and Health Authority inspections at the vendors, as needed
                          Be the central QA point of contact for the organization for investigations / deviations / out-of-specifications / audit observations associated with the assigned vendors. * Have the overview of the company audit and HA inspections related to the vendors. Track and follow-up on Audit observation and CAPA plan implementation at the vendor. * Support on customer audits and Health Authority inspections at the vendors, as needed
                          more
                          Easy Apply
                          Are you ready to take the lead in accounting, go beyond standard operational tasks, and play a key role in structuring and strengthening a company's financial processes? * Lead monthly and annual closings, prepare financial statements, and coordinate with external partners (auditors, tax advisors). * Ensure accurate reporting and contribute to continuous improvement of financial processes. * Autonomy & Strategic Vision: Comfortable working independently, operationally hands-on, while maintaining a broader strategic view to drive and improve financial and administrative processes.
                          Are you ready to take the lead in accounting, go beyond standard operational tasks, and play a key role in structuring and strengthening a company's financial processes? * Lead monthly and annual closings, prepare financial statements, and coordinate with external partners (auditors, tax advisors). * Ensure accurate reporting and contribute to continuous improvement of financial processes. * Autonomy & Strategic Vision: Comfortable working independently, operationally hands-on, while maintaining a broader strategic view to drive and improve financial and administrative processes.
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                          On top of its logistics activities, MLE offers financial and IT services to all Mazda's National Sales Companies. Accountants are responsible for providing financial data. They prepare financial reports under IFRS as well as local GAAP, generate VAT reports and ensure the accuracy of all financial transactions.
                          On top of its logistics activities, MLE offers financial and IT services to all Mazda's National Sales Companies. Accountants are responsible for providing financial data. They prepare financial reports under IFRS as well as local GAAP, generate VAT reports and ensure the accuracy of all financial transactions.
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                          Easy Apply
                          Synechron's progressive technologies and optimization strategies span end-to-end Consulting, Design, Cloud, Data, and Engineering, servicing an array of noteworthy financial services and technology firms. * You are familiar with financial messaging formats or have experience in the fintech or regtech industry. * Annual license to access our banking/finance profession training platform to enhance your knowledge of various banking/financial professions and stay professionally updated.
                          Synechron's progressive technologies and optimization strategies span end-to-end Consulting, Design, Cloud, Data, and Engineering, servicing an array of noteworthy financial services and technology firms. * You are familiar with financial messaging formats or have experience in the fintech or regtech industry. * Annual license to access our banking/finance profession training platform to enhance your knowledge of various banking/financial professions and stay professionally updated.
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                          Drive the identification of opportunities for improvement, development and implementation of quality and operational excellence projects in response to business requirements, technical changes, identified risks, audit observations and regulatory requirements at the site.
                          Drive the identification of opportunities for improvement, development and implementation of quality and operational excellence projects in response to business requirements, technical changes, identified risks, audit observations and regulatory requirements at the site.
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                          What is the average salary for Financial Audit in Kortenberg?

                          Average salary per year
                          36.300 €

                          The average salary for a Financial Audit in Kortenberg is 36.300 €. Financial Audit in Kortenberg salaries range from 31.000 € to 46.100 €.

                          Frequently Asked Questions

                          How many Financial Audit jobs are there in Kortenberg?
                          There are 89 Financial Audit jobs within 20 miles of Kortenberg available on StepStone right now.

                          What other similar jobs are there to Financial Audit jobs in Kortenberg?
                          As well as Financial Audit jobs in Kortenberg, you can find Finance, Communication, Proactivity, amongst many others.

                          Which skills are beneficial for Financial Audit jobs in Kortenberg?
                          The following skills are useful for Financial Audit jobs in Kortenberg: Communication, Finance, Proactivity, Accounting, Management.