manage the entity’s financial processes: budget, forecasts, monthly results,
prepare the financial reports and presentations, highlighting achievements and performance gaps,
propose and coordinate implementation of financial opportunities and corrective action plans,
coordinate optimization of working capital requirement and return on capital employed: stock reduction, overdues animation,
ensure robust financial practices on the perimeter and compliance with central guidelines: timely accounts reconciliation and clearing of payables and receivables accounts, robust risk accruals and depreciations,
improve the local financial processes and develop the skills and efficiency of the financial team.
Wymagania
graduated from a business school (Master degree),
experience in controlling is mandatory (>4 years), ideally in a competitive commercial environment ; good accounting knowledge required,
fluency in English and Polish,
autonomy, adaptability, ability to make decisions/ orientations with the business partner within central guidelines.