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If you feel ready to grow and overcome yourself within a team of professional and performance oriented people then, most probably, we should have a talk about the opportunity we have for you.
Responsibilities:
- Preparation of the budgets and forecasts in close collaboration with the senior management;
- Conduct ad-hoc analysis of group results vs previous year vs budget;
- Research technical accounting issues for compliance;
- Support month-end and year-end closing process;
- repare and publish timely monthly financial statements;
- Ensure quality control over financial transactions and financial reporting;
- Conduct controlling tasks, margins and results analysis, for monitoring and profitability purpose, cost controlling;
- Recommend and implement action plans;
- Develop and document business processes and accounting policies to maintain and strenghten internal controls;
- Supporting on a variety of ad hoc projects as required
Requirements:
- Degree in Accounting, Economics, Finance or related;
- Strong knowledge of Excel;
- Accounting & reporting knowledge;
- Fluency in English;
- Excellent communication;
- Self-starter with strong problem solving skills;
- Exceptional drive to overcome obstacles and deliver result.
Skills that represent a strong advantage:
- Previous credit management experience;
- Understanding of working capital and cash flow levels;
- Knowledge regarding legal and accounting framework of receivables cycle;
- Experience working with ERP's (ideally Microsoft Dynamics NAV).