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The job holder will manage and control overall financial reporting and accounting operations, provide day to day support to the business and look onto the financial performance of the company. The job holder will provide analysis of Key Performance Indicators to support business development, he/she will act as gatekeeper for compliance and financial accuracy and well as focus on continuous improvement of financial processes.
Job Responsibility:
To ensure quality and in time accounting and reporting as per company standards
Perform analysis of financial and operational trends, provide regular analysis of KPI´s and initiate improvement processes both on finance and operational matters
To be a true finance business partner to the local and regional teams
To manage financial matters of the company, to communicate risks in a timely manner to upper management and propose solution to observed risk
To prepare or supervise the preparation of the budgets, forecasts and reporting packages in line with the company’s rule and within the deadlines
To oversee short and long-term pricing and costs management in alignment with regional strategic plans
To maintain a high standard of reporting and integrity of the BS and IS accounts, following all IFRS as well as company accounting and statutory rules
To analyze and the monitor investment process, supervising the Payback time, cash flow impact, capitalization process, CIP aging as well as to approve the CAPEX
To drive cash flow and debt management together with optimization of working capital
Preparing presentations and data for business reviews and management operational reviews
Prepare ad hoc reporting and analysis
Handle year end audit as well as any internal audits
Other projects and ah-hoc requests in own area of expertise
Overseeing & owning local payroll activities and set-up
Operationally supporting local HR Admin as person of trust
Requirements:
Master’s or Bachelor’s degree in finance/accounting or similar
Minimum 7 years of relevant work experience
Strong Knowledge of accounting and controlling, preferable in prior experience in matrix environment in other international companies
Knowledge of Income tax law, local and IFRS
Excellent analytical skills with a focus on being able to handle timely and accurate financial data analysis
Advanced user of office suite with focus on PowerPoint, Excel, HFM/OneStream and ERP
Accurate, flexible, communicative, ability to work independently as well as in team
Very good English skills written and verbal
What we offer:
Learning and career development opportunities, whether it’s online learning, management training or enhancing your skills