METRO Cash & Carry в поиске Head of Financial Controlling and Reporting Department.
Условия:
- Opportunity for professional and career growth in an international company
- Comfortable working conditions in a modern office, corporate transport (from Voykovskaya, Rechnoy Vokzal, Altufevo and Khimki railway stations), free parking
- Medical insurance, a possibility to include relatives into the corporate contract
- Life and accident insurance
- Partial compensation of lunch expenses
- Additional days of paid leave, additional payment for sick leaves
- An opportunity to gain experience working with colleagues from other countries
- Discounts on English courses, corporate English courses for employees who need it for work
- Discounts in METRO Stores
- Special offers from banks, fitness clubs and other partners
Требования:
- University degree in finance and accounting
- Minimum 3-5 years working experience in finance department (controlling or accounting or financial auditing)
- Experience and expertise in IFRS Standards
- Leadership experiences of at least 2 years, ability to lead a team of financial professionals on different levels
- Good knowledge about financial and reporting management
- Good knowledge of MS Office (especially Excel) and SAP
- Self-disciplined, energetic, hands-on with ability to work independently and under stress
- Strong team player with good standing and reputation in country
- Self-confident and problem solving thinking
- Strong analytical skills, challenging and precise
- Excellent communication and negotiation skills, assertive but not aggressive
- Diplomatic personality with strong ability of conflict management
- Must be fluent in English (both written and spoken)
Обязанности:
- Consolidating the full financials of the company under IFRS
- Reporting and analyzing timely monthly financial statements
- Ensuring that all financial transactions are properly recorded and reported
- Providing insights into topics related to reporting and general business analytics
- Aligning reporting / information needs within the organization
- Preparing performance reviews and other management presentations
- Coordinating and directing the preparation of the forecast and budget process of the financials
- Steering chance and risk / outlook process
- Preparing proposals for accruals during monthly / quarterly / yearly closing
- Reviewing regularly balance sheet potentials
- Key business partnering with HR for analyzing and steering personnel expenses
- Managing head office expenses with the HQ managers
- Overseeing the development and supporting management of the cash flow of the company
- Following and strengthening internal controls and collaborates with auditors