Your Responsibilities This role requires a highly analytical and results-driven finance professional who can drive financial excellence and provide insightful recommendations to senior leadership. If you have a strong background in Audit, Accounting, and strategic financial management, we encourage you to apply. Your Responsibilities Creation & maintenance of new and existing P&L, Balance Sheet and Cash flow structures for both statutory and management reporting to support the global expansion footprint of the company. Implementation and further development of reporting, planning, and forecasting processes focusing on an integrated financial controlling process. Enhance the synchronicity between Financial Reporting packages by automisation. Financial Performance Management: Analyze monthly, quarterly, and annual financial performance against budgets and forecasts. Provide variance analysis and actionable insights to senior management to drive performance improvements. Cash Flow & Working Capital Management: Monitor and optimize cash flow, working capital, and liquidity planning. Implement strategies to enhance financial resilience and ensure optimal capital structure. Month-End Financial Close & Financial Controlling: Support the month-end and year-end close processes, ensuring timely and accurate financial consolidation, reconciliations, and reporting. Collaborate with accounting teams to enhance reporting accuracy and efficiency. Support of quarterly and annual closing process in close collaboration with our accounting team and external auditors Preparation of concise reports and analysis for our management including C-level executives to support strategic and operational decisions Ad hoc business analysis and contribution to key strategic projects Your profile Your profile Master’s degree with a focus on finance and accounting 5 years of professional experience in finance, management accounting or auditing Strong analytical skills with the ability to interpret complex financial data and provide actionable insights. Excellent communication and presentation skills, with the ability to convey financial information to both financial and non-financial stakeholders. Proficiency in financial modelling and forecasting techniques. Experience with ERP systems and advanced proficiency in Microsoft Excel. Experience in LucaNet and Microsoft Dynamics is beneficial. Strong organizational skills with the ability to manage multiple priorities in a dynamic environment. High level of integrity and professionalism. Accurate, independent and solution-oriented way of working Good knowledge of IFRS and German GAAP Good communication skills in English. German is a strong advantage. Why us? Why us? Talents are individually supported by internal and external trainings An international career in a multicultural environment Regular company events form us as one team Lunch breaks and meetings on our roof terraces feel like vacation when looking at the Warnow Bike-leasing or job tickets allow an environmentally-friendly and reasonable travel to work About us With employees from over 50 nations, CENTOGENE is a truly global company located within the university city of Rostock, one of Germany's beautiful cities close to the Baltic sea. We are dedicated to deliver data-driven, life-changing answers to patients, physicians, and biopharma partners to enable a world healed of rare and neurodegenerative diseases. In this fast-paced and highly innovative area of biotech, those who want to work, learn, and contribute to a growing biotech company will find a dynamic and exciting environment at CENTOGENE.