The company "Trade Energy Solutions" was founded in 2019 and is a reliable supplier of energy resources in Ukraine. We specialize in providing our customers with electricity, natural gas and coal. We provide consumers with electricity on market terms. Due to expansion, Trade Energy Solutions is looking for a Financial Director.< /strong>Basic requirements:Higher economic education/accounting and auditing;Experience as a deputy/financial director from 3 years;Mastery of budgeting and business pla
The company "Trade Energy Solutions" was founded in 2019 and is a reliable supplier of energy resources in Ukraine.
We specialize in providing our customers with electricity, natural gas and coal. We provide consumers with electricity on market terms.
Due to expansion, Trade Energy Solutions is looking for a Financial Director.< /strong>
Basic requirements:
- Higher economic education/accounting and auditing;
- Experience as a deputy/financial director from 3 years;
- Mastery of budgeting and business planning processes;
- Knowledge of foreign trade (import, export);
- Understanding the principles of reporting under IFRS import and export;
- Preparation of recommendations on the transformation of financial services, the goal is timely and reliable financial reporting according to IFRS;
- Knowledge of financial analysis, risk management and strategic planning;
- Deep knowledge of accounting and 1C enterprise 8.3, BAS, Excel CF, P&L, Balance;
- Certificates of ACCA or СМА, СИРА, CIMA, CFA;
- A confident user of Excel Power Point, experience in Power BI is welcome.
- Ability to present management reporting analysis in a readable form, including infographics.
- Organization of accounting, tax and management accounting, submission of relevant reports
- High level of analytical thinking;
- Ability to make strategic decisions and work with large amounts of information;
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- English language level - from Upper Intermediate.
Main duties:
- Organization of the budgeting process on a daily basis (planning, actualization), including budgets - income and expenses, settlements with counterparties, tax burden, cash flows, etc.
- Monthly preparation consolidated financial statements of the company;
- Consolidation of budgets by group of enterprises;
- Formation of management reporting by the Group of companies and "analysis" of other indicators;
- Interaction with banks, financial institutions and partners on financial operations;
- Budgeting, monthly and daily plan/actual analysis;
- Planning and control of cash flows;
- Control of receivables and payables;
- General management of the financial function of the Company (accounting, tax accounting, management accounting);
- Ensuring effective financial and economic activity of the company;
- Working with financial and credit institutions, attracting loans and overdrafts.
What are the advantages of working in our company?
- Official registration;
- High salary level;
- Professional growth within the company;
- Office with comfortable conditions and a pleasant team;
- Working schedule from 9:00 to 18:00.
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