Description
As part of the Finance team, you will join Emilia, our Head of Finance, to actively contribute to the structuring, analysis, and reliability of the company's financial performance.
Your mission: Support daily financial and operational management by participating in the preparation of budgets, forecasts, and performance analyses.
You will play a key role in cash flow monitoring, variance analysis, and the implementation of management tools to support strategic decision-making.
In parallel, you will assist with the administrative and logistical management of the office (Office Management), ensuring a smooth and efficient organization for all teams.
This internship offers a true immersion into the daily operations of a Finance Department, combining analytical rigor, versatility, and teamwork.
Your mission
1. Budgeting and Forecasting
Contribute to the creation and monitoring of budgets and reforecasts.
Participate in preparing financial forecasts: data collection, consolidation, and analysis.
Analyze variances between budgeted and actual results, identify areas of concern, and propose opportunities for improvement.
2. Financial Analysis
Assist in analyzing financial statements to identify trends and performance drivers.
Contribute to the preparation of monthly financial reports for management.
Participate in evaluating and tracking financial KPIs.
3. Cash Management
Assist with daily cash management and cash flow forecasting.
Contribute to cash optimization and the tracking of payments and receipts.
4. Finance / Office Management
Monitor expenses related to Office Management, including apparel stock and consumables.
Manage and track the inventory of fixed assets (equipment, laptops, badges, etc.).
Participate in the onboarding and offboarding processes (equipment setup, access rights, badges, etc.).
5. Relations with Financial Partners
Prepare necessary documentation for banks, investors, and other partners.
Participate in financial meetings and write meeting minutes.
6. Compliance and Audit
Contribute to the preparation of internal and external audits.
Ensure compliance with accounting and regulatory standards.
Participate in optimizing internal procedures and operational financial controls.
7. Financial Skills Development
Develop your understanding of corporate finance, accounting, and financial analysis.
Benefit from regular feedback and mentoring sessions to grow your technical and business skills.
What we offer
Mobility package
Swile meal card: €9/day
2-3 sports sessions/month
Regular team events & a company retreat
Referral bonus
Date de début
27 juil., 2026
Profil
Currently pursuing a Master's degree in Finance, Auditing, Management Control, or Corporate Finance
Solid knowledge of accounting and financial principles, paired with a sharp analytical mindset
Proficient in MS Office/Google Suite (Excel/Google Sheets, PowerPoint) and highly comfortable working with numerical data
Rigorous and curious: you always strive to understand the "why" behind the numbers
High level of integrity, discretion, and a strong sense of responsibility
Enthusiastic about working in a collaborative, dynamic environment, closely interacting with operational teams
Fluent in French with a good working knowledge of English
What's In It For You:
A hands-on, high-responsibility experience at the very heart of the financial challenges of a growing company
The opportunity to contribute to strategic projects and rapidly develop your skills in key corporate finance areas
Direct exposure to the financial management team, backed by supportive, growth-oriented mentoring
Work with Island is an equal opportunity employer. All our positions are open to everyone, regardless of gender, age, disability, religion, or sexual orientation.
Répartition du temps de travail
Full time
Durée (Mois)
6
Formation
RJ/Qualif/Ingenieur_B5
Secteur
Distrib_commerce