Duties:
Revenue/cost controlling
Controls monthly closing
Development and updates policies and establishes processes
Leads and coordinates the financial team
Leads the budgeting process and presentation of the interim and final budgets
Performs treasury activities
Prepares monthly financial reports for HQ (IFRS/GAAP)
Initiates audit and keeps the responsibility for audit report submission
Requirements:
Experience in finance at least 6 years
Experience in team management
Advanced user of xls
Experience in IT or consulting business is an advantage
Knowledge of ERP systems (Navision, Scala, not only 1C)
Fluent English
Ваш профиль заполнен на 100%. Необходимое заполнение профиля для отклика на вакансию составляет 50% - в этом случае Ваше резюме сможет привлечь больше внимания работодателя.