Anunciado 23 de enero
Esta oferta no acepta candidaturas
Tipo de jornada
Sin especificar
Tipo de contrato
Sin especificar
Salario
60.000€ - 70.000€ bruto/año
Estudios mínimos
Sin especificar
Nivel
Sin determinar
Número de vacantes
1
Número de inscritos
1
Tags Relacionados
Descripción del empleo
  • At least 5 years experience in similar positions. High English level is a must.
  • Big4 experience in audit will be very consider.

Multinational company specializing in materials industry.





  • Provide leadership and oversight to the finance team, ensuring the efficient day-to-day operations of the accounting function.

  • Deliver timely consolidated financial statements to senior management.

  • Manage the monthly close process and prepare the management reporting package for senior management.

  • Lead and execute the year-end close process and manage external annual and compliance audits.

  • Ensure compliance with financial regulations, accounting standards, and tax requirements.

  • Drive international financial planning and annual budget/forecast processes.

  • Manage cash flow and liquidity, optimizing the allocation of financial resources.

  • Monitor and analyze the relationship between the various entities within the Group and assess the tax impact of the intercompany transactions.

  • Coordinate annual transfer pricing and manage other treasury-related activities.

  • Conduct in-depth analysis of financial performance and operational costs, identifying areas for potential improvement and cost efficiencies, and presenting findings to senior management.

  • Provide strategic financial advice to senior management and department heads to enhance decision-making, financial performance, and cost management.



Oportunidades de carrera y desarrollo profesional.




Requisitos mínimos

  • Proven experience as a Finance Manager, Senior Finance Officer, or in a relevant role

  • In-depth knowledge of corporate financial law and risk management practices

  • Proficiency in accounting principles (e.g., IFRS), including consolidation

  • Proficiency in analysis, budgeting, and forecasting methods

  • Trade finance experience within a commodity trading firm or bank, with expertise in managing bank relationships and securing new financing for working capital

  • Understanding of liquidity management and FX strategies

  • Understanding of hedging instruments

  • Proficiency in managing service providers and advisors across diverse legal environments

  • Proficiency in the use of MS Office and financial management software (e.g., NetSuite)

  • Strong ability to strategize and solve problems

  • Strong leadership and organizational skills

  • Excellent communication and interpersonal abilities

  • Fluent command of English, both written and verbal

  • Analytical mindset with a strong aptitude for working with numbers

  • CPA qualification is a strong advantage

  • BSc/BA in Accounting, Finance, or a related field




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