Chief Accountant

Location
Suchy Las
Salary
Competitive salary + benefits
Posted
24 Nov 2021
Closes
24 Dec 2021
Ref
177/11/2021/MF
Job role
Chief accountant
Contract type
Permanent
Hours
Full time
Experience level
Qualified accountant

W Antal zajmujemy się rekrutacją od ponad 20 lat. Dzięki działaniu w 10 wyspecjalizowanych dywizjach, świetnie orientujemy się w aktualnych trendach branżowych. Precyzyjnie określamy specyfikę stanowiska, klasyfikując kluczowe umiejętności i niezbędne kwalifikacje. Naszą misją jest nie tylko znalezienie kandydata, którego kompetencje wpisują się w wymagania danego ogłoszenia, ale przede wszystkim stanowiska, spełniającego oczekiwania kandydata.

For our client, an international company with a commercial profile, we are looking for a person for the position:

Chief Accountant

Location: Poznań

It is a stable company with an established position in the market, being the 2nd in the world in its industry.

This position offers a wide range of development opportunities.

Responsibilities:

1.   Periodic financial reporting:

  • Ensure accuracy of operational financial transactions, including but not limited to AP, AR, Inventory and General Liabilities
  • Reconcile balance sheet accounts, including but not limited to Fixed Assets and Tax Accrual Liability
  • Verify accuracy of periodic accruals and provisions, inventory evaluation and revenue recognition
  • Review revenue and expense accounts
  • Verify travel expense reports and consistency with T&E procedures
  • Prepare periodic and year-end financial statements, according to both local regulations and internal Group standards

2.   Financial Analyses:

  • Preparation of the annual budget and forecasts
  • Calculate variances from the budget and provide significant comments to the management

3.   Financial Management:

  • Cash, Bank, Credit Card, Intercompany Reconciliation Management
  • Inventory Control and Management
  • Evaluate and advise on the impact of long range planning, introduction of new programs/strategies and regulatory action
  • Develop a reliable cash flow projection process and reporting mechanism that includes minimum cash threshold to meet operating needs

Requirements

  • Bachelor’s degree in accounting, business administration, finance
  • 5+ years of experience in a similar role
  • Languages: fluent in English and Polish
  • Very good knowledge of the regulations
  • Independence, responsibility and energy in action,
  • Accuracy, systematicity, punctuality and perfect organization of own and team work.

For further information, and to apply, please visit our website via the “Apply” button below.