Finance manager

з/п не указана

Вакансия в архиве

Работодатель, вероятно, уже нашел нужного кандидата и больше не принимает отклики на эту вакансию

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Требуемый опыт работы: 3–6 лет

Полная занятость, полный день

REQUIRED SKILLS:

  • University degree in Finance or Accounting field
  • Minimum 5 years finance experience, preferably in a multinational professional service environment
  • Computer literacy including mastery of Microsoft Excel (Pivot tables, VLOOKUP, etc.) and working knowledge of other Microsoft Suite software
  • Strong command of the English language in both written and oral communications
  • Solid knowledge of accounting principles; excellent organizational ability and keen attention to detail
  • Ability to prioritize and manage multiple tasks
  • Ability to perform well under pressure and meet time-sensitive deadlines
  • Proactive approach to problem solving
  • Strong interpersonal and communication skills
  • Excellent team skills and customer service attitude
  • Ability to maintain confidential information

ROLE OVERVIEW:

To perform daily activities in relation with Finance & Accounting agenda. Responsibilities include implementing new procedures and streamlining existing procedures as necessary, as well as ensuring compliance with internal policies and local regulations.

KEY RESPONSIBILITIES:

Client contracts

  • Liaise with Firm legal and external advisor to finalize contracts
  • Prepare invoices and collect payments

Tax & statutory accounts:

  • Review local statutory accounts prepared by external accounting company
  • Review VAT returns + other mandatory filings prepared by external accounting company
  • Review Financial Statements and CPT return prepared by external accounting company
  • Review intercompany agreements and invoices prepared by Corporate Tax Team
  • Review Transfer pricing documents prepared by McKinsey Corporate Tax Team

Custom clearing (import/export):

Payroll:

  • Review monthly payroll prepared by external accounting company
  • Process salary payments
  • Prepare calculation of year-end bonus, pension contributions, etc.
  • Manage payroll deductions

Bank operations:

  • Process payments (both local and international)
  • Manage FX trades, deposits
  • Cash flow management
  • Communication with banks and Firm Treasury

Controlling:

  • Interpret internal financial reports to Leadership

Others:

  • Internal and external audit support including documentation preparation, confirmations
  • Supervise Timesheets & Expense Reports
  • Supervise Account Payables (including expense allocation to cost centers)
  • Review balance sheet accounts reconciliations
  • Support planning and forecasting revenues, personnel and operating expenses

Вакансия опубликована 11 марта 2019 в Киеве

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