Lokacija

Belgrade

For our client, an international company the specialist in civil and structural engineering technology, consultancy and operations, we are searching for a candidate to strengthen their finance department in operational reporting to the group.

Major task: 

The primary responsibility of this role is to prepare internal reports for the group, focusing on operational functions. Managing all finance data at the company by providing reliable finance information and statements, ensuring transparent, accurate and timely reporting to the management, making sure that finance and accounting practice is in line with local regulations and complies with IFRS standards. Finance Manager will lead a small team of individuals in this sector. 


Responsibilities:

  • Maintaining compliance with local regulations, IFRS, and Founder's requirements.

  • Planning and monitoring cash flows, optimizing working capital, monitoring receivables and payables.

  • Coordinate, control, analyze and report periodic closures, budget and reforecast to the local management team and to the senior management in a timely manner.

  • Implement and run financial and operational information tools in accordance with Group (ERP, projects site cost control software, different software implementation…).

  • Implement and run administrative activities in accordance with Group and local requirements.

  • Supervise the accounting and management of the financial control function, including full responsibility of the local controlling activities.

  • Manage budget and periodic forecasts with detailed analysis of significant deviations from the last reforecast in cooperation with BU managers. 

  • Manage IFRS quarter-end end closing process, ensuring accuracy and completeness of the figures, as well as providing zone management with detailed analysis of significant deviations from the budget / last reforecast.

  • Prepare / validate entries on time in Group Information Systems.

  • Review projects and overheads cost, carry out P&L, working capital and cash analysis.

  • Collaborating with external partners: accounting agencies, tax authorities, lawyers, banks, and auditors. 


Requirements:

  • Degree in Economy, business administration or similar with a focus to finance and accounting 

  • Preferably 2 + years of experience as Finance manager or CFO with experience in finance reporting and good knowledge of IFRS

  • Excellent knowledge of Excel 

  • Excellent knowledge of the English language

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