Michael Page
Description:
Planning of P&L, Balance Sheets and Cash Flows (periodically),
Preparation of monthly/quarterly/annual forecasts with comparison vs. actual results,
Reporting to local and regional management with regular analytical statements;
Monthly closing, incuding accrual and reserves calculation,
Daily cash management (periodically);
Costs monitoring and control;
Profitability analysis;
Participation in Internal and External audit procedures,
Successful candidate`s profile:
Higher Degree (Finance/Accounting);
Minimum 3 year work experience in finance;
Experience in 1C, advanced knowledge of Excel;
Strong analytical skills;
Upper-Intermediate English;