Finance Coordinator and Reporting Specialist - Central and Eastern Europe

  • Ensure accurate and timely reporting – based on the preparation of monthly accounts by the chief accountant
  • Preparing monthly performance schedules and KPI’s
  • Review of balance sheet reconciliations prepared by C.A.
  • Manage banking relationships and cash functions
  • Monitor monthly cash flow and prepare accurate rolling cash forecasts
  • Ensure robust financial controls are in place and being adhered to
  • Monitor billing accuracy
  • Oversight and management of cash resources in the region
  • Process optimisation

Elvárások / Requirements

  • Ideally CIMA / ACCA / ACA Qualified or final exams / local equivalents
  • IFRS
  • Experience working with different financial Systems
  • Experience within a dynamic multiple entity business
  • Strong technical knowledge of accounting standards and financial controls
  • High level of computer literacy, strong Excel skills are essential (V-Lookup and Pivot Table level).
  • Excellent communication and organisational skills
  • Strong English language capabilities combined with proficiency in Central / Eastern Europe and / or German would be highly advantageous

Amit nyújtunk / Benefits

  • Competitive salary
  • A global company with a family-like atmosphere
  • Excellent team
  • Stable corporate background

a0tbI00000BZoobQAD

JELENTKEZEM