CKH Group
Jobs at CKH Group
Let Your Resume Do The Work
Upload your resume to be matched with jobs you're a great fit for.
Success! We'll use this to further personalize your experience.
Recently posted jobs
Financial Services
Manage statutory accounting work across European portfolios, including monthly flux analysis, balance sheet reconciliations, account reviews, year-end closes, US-to-local GAAP reconciliations, financial statement preparation, and audit coordination. The role also provides guidance to accounting staff and supports ad hoc accounting, tax, and finance projects.
Financial Services
Manage statutory accounting work across European portfolios, including monthly flux analysis, balance sheet reconciliations, account reviews, year-end close, US-to-local GAAP reconciliations, financial statement preparation, and audit coordination. The role also provides guidance to accounting staff and supports ad hoc accounting, tax, and finance projects while meeting deadlines and client requirements.
Financial Services
Manage statutory accounting work across European entities, including monthly reconciliations, flux analysis, account reviews, local GAAP reporting, year-end close, and US-to-local GAAP reconciliations. Coordinate quarterly and annual audits, prepare auditor documentation, guide accounting staff, and support ad hoc accounting, tax, and finance projects. The role requires English and German fluency, advanced Excel, SAP ERP knowledge, strong organization, and attention to detail.
Financial Services
Manage statutory accounting for an allocated portfolio across European countries, including monthly flux analysis, balance sheet reconciliations, account reviews, local GAAP financial statements, US-to-local GAAP reconciliations, year-end close, and audit coordination. Provide guidance and mentoring to accounting staff, support client deadlines, and assist with accounting, tax, and finance projects.
Financial Services
Manage statutory accounting across European portfolios, including VAT, Intrastat, payroll, reconciliations, SOX documentation, year-end close, GAAP reconciliations, financial statements, audits, tax packs, and corporate tax return support. The role also involves reviewing accounts, resolving irregularities, mentoring accounting staff, coordinating with auditors and consultants, and supporting ad hoc finance projects.
Financial Services
Manage statutory accounting portfolio across European countries: monthly VAT/Intrastat/payroll tasks, balance sheet reconciliations, SOX binders, analyze accounts, support year-end local GAAP reconciliations and audits, prepare global tax packs and CIT returns, liaise with auditors and external consultants, mentor STAT staff, and assist on ad-hoc accounting, tax and finance projects.
Financial Services
Perform integrated audit and assurance services for global clients: plan and execute audits, assess risks and controls, prepare and review financial statements, present findings, and liaise with US managers and partners. Opportunity to support consulting engagements during off-peak seasons.
Financial Services
This internship provides exposure to real-world accounting tasks, assisting with financial documents, utilizing accounting software, and working in a team environment to develop technical and soft skills.
Financial Services
Internship for accounting graduates focusing on hands-on experience in accounting processes, preparing financial documents, and learning teamwork skills.
Financial Services
Own day-to-day accounting for a high-volume, multi-entity business: daily bank reconciliations, daily sales reporting and close, monthly reconciliations, intercompany allocations, invoice and expense processing, foreign-currency payments, and continuous process automation and improvements. Partner with stakeholders to resolve issues and maintain accurate, timely records.
Financial Services
Support statutory and tax accounting across European jurisdictions: prepare and submit statutory/tax reports, assist with tax calculations and year-end/quarterly closings, collaborate with GL teams and consultants, track payments, and respond to authority notices.
Financial Services
Perform financial and compliance audits of government agencies and programs; review records and internal controls; prepare audit reports with findings and corrective recommendations; communicate results to stakeholders; monitor remediation and stay current on laws, regulations, and accounting standards.
Financial Services
Own daily accounting operations for a high-volume, multi-entity business: daily bank reconciliations, daily sales reporting and close, monthly reconciliations, intercompany allocations, vendor/contractor processing, foreign-currency payments, recordkeeping, stakeholder partnership, and continuous process automation and optimization.
Financial Services
Lead and develop AP, AR, and GL teams (≈80 people) to ensure timely, high-quality accounting and reporting. Manage client relationships and escalations, drive KPIs and continuous improvement, oversee resource planning, workforce management, and operational efficiency to support business growth.
Financial Services
Lead and develop AP, AR, and GL teams (~80 people) to ensure timely, high-quality accounting and reporting. Serve as primary client escalation, drive KPIs and continuous improvement, oversee resource planning, workforce management, and operational efficiency to support business growth.
Financial Services
Lead and develop AP, AR, and GL teams (~80 people) to ensure timely, high-quality accounting and reporting. Manage client relationships and escalations, drive KPIs and continuous improvement, oversee resource planning, workforce management, and operational efficiency to support business growth.
Financial Services
The Senior Tax Manager will lead a tax team, manage tax return preparations, oversee audits, mentor associates, and handle tax planning.
Financial Services
Perform and oversee daily, weekly, and monthly cash reconciliations; support general ledger accounting, journal entries, and account reconciliations; assist month-end and year-end close; maintain controls and compliance; investigate discrepancies and provide ad-hoc financial analysis and reporting.



