Managing all financial processes for the local divisions (Accounts Receivable & Creditmanagement, Accounts Payable, General ledger and Tax)
Being the first contact for external providers (accountants, banks, Allianz Trade, etc.) and authorities (e.g. tax authorities) with respect to communication and information providing
Managing the cash flow in the countries
Taking part in the regular finance meetings in the headquarters
Preparing monthly financial reports for the headquarters in Germany and supporting the annual budget planning process
Closing the year end and preparing the annual report and filing it to the tax authorities
Being the first contact for external service providers and authorities
Your qualifications :
The successful candidate will have completed relevant training in financial accounting or taxation (e.g. Bachelor of Economics; Financial Accountant, etc.)
At least two years of relevant professional experience in an internationally operating corporate group
The ability to work independently and demonstrably achieve first-class results
Excellent analytical and problem-solving skills
You are fluent in English and Polish
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