Dreaming to become part of a team that creates innovative spaces by changing life standards for the better? We are looking for a financial (financial) manager who is able to skillfully manage cash flows, control the processes and make strategic decisions. If you pro love figures, understands business logic and seeks to influence the financial stability and growth of the company-this role is for you! Requirements 3+ years of successful work experience Finn manager, treasurer or economist in
Dreaming to become part of a team that creates innovative spaces by changing life standards for the better? We are looking for a financial (financial) manager who is able to skillfully manage cash flows, control the processes and make strategic decisions. If you pro love figures, understands business logic and seeks to influence the financial stability and growth of the company-this role is for you! Requirements
- 3+ years of successful work experience Finn manager, treasurer or economist in the Finnish Department
- Good experience in cash flow management, payments and budgeting
- The ability to work in a dynamic environment and quickly adapt to changes
- > Understanding tax legislation and accounting knowledge
- A confident user of Excel, ERP or other automated systems
- Experience with banks, payment systems and contracts
- Higher education in the field finance, economics, accounting
- Ability to work with large amounts of data
Personality
- A positive team player: harmonious relationships-our value
- Responsibility, sociability, proactive approach
- Analytical composition of the mind and attentiveness to details
- can fit well for intj, isstj, entj, estj
obligations :
cash flow management
- Formation and Management of Payment Calendar
- Management Accounting, Control and Support for Finn Data
- Preparation of payment orders, coordination and control of payments l>
- Optimization of cash flow structure to ensure the liquidity of the company
- Interaction with banks on settlement and cash services
- Control of receivables and accounts payable
Financial control and accounting
- Preparation of all forms of management reporting by internal standards of the company
- Control of budget execution and analysis of deviations
- Construction and updating of fin models
ul> Working with payments
- Checking the financial terms of contracts and control of their implementation
- Maintenance of the Register Finn Liabilities and Terms Control
Tax administration and interaction with accounting
- Preparation of Documents for AccountingIn and Tax Reporting
- Control of the correctness of display of operations
Financial planning and analytics
offers - Competitive pay that meets your competencies < /
- Large -scale projects that set new standards
- Ability to work with a successful businessman
- A positive environment where loyalty
- is a state -of -the -art comfortable office in Pechersk
- /
- everything necessary to succeed
- 24 days of vacation
About company : We are an ambitious new generation developer company. We create residential complexes-from smart class to luxurious premiums, and Also, commercial spaces that are striking, energy efficiency and thoughtful details.
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