от По договоренности
Responsibilities: Reporting to the Headquarters in accordance with IFRS/HGB on monthly basis (Balance Sheet, Profit and Loss Statement, Cash Flow Statement, Sales/Subsidiary form, Group Intercompany reconciliation template, Trade receivables form) Preparation of monthly, yearly management and financial reports; Give comments and explanations to HQ financial department if required; Fully participation in the budgeting process; Provide support on all issues related to budgeting, forecasting; Control over budget execution, plan-fact analysis; Secure the constant communication and day to day work co-ordination with Head Quarter Financial Department; Controlling and planning the company's cash flow (incoming /outcoming payments, loans) to secure its effective operations; Execute credit control, timely payments from the Customers. Inform Sales and Customer Service departments about the payments status and actions required; Other tasks Requirements: University degree in finance or accounting At least 3 years of experience in controlling or accounting Knowledge of key accounting principles and standards Goodknowledgein IFRS reporting Analytical/controllingapproach Highstresstolerance Respectofdeadlines Advanced English. Conditions: The main office of company situated in the Lunevo, Moscow area Five days working in a week, 8 hours per day Employment in accordance with Russia Labor Law Attractive compensation package Lunchallowance Voluntarymedicalinsurance
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Дата публикации вакансии
15 января 2022