Graduate (Master) degree in finance, accounting or related field.
More than 3 years of experience in finance with an emphasis on business controlling or related field.
In-depth knowledge of financial processes and policies and financial reporting standards.
Proficiency in financial tools, including planning and reporting systems, Excel add-ins (SQL, Power Query, Power Pivot).
Skills in SQL query development.
Fluency in English (B2/C1).
Ability to work in a team (interpersonal skills).
Well-developed analytical thinking skills, ability to assess situations and make decisions independently.
Demonstrating strong organizational skills and the ability to manage tasks effectively and independently
Results-oriented attitude with a clear focus on continuous improvement.
Obowiązki
Co-creating and developing the company's overall financial strategy, advising the company's management on key business decisions.
Preparing periodic analysis and reports for management with deviation analysis, conclusions and recommendations.
Creating financial reports and analysis to identify market trends, potential growth opportunities and areas for optimization.
Monitoring budget performance and make recommendations for adjustments as needed to meet financial targets.
Implementing risk management strategies - identify and assess financial risks associated with various business initiatives and develop strategies to mitigate them.
Responsibility for developing tools and optimizing control and reporting processes.
Monitoring and enforcing compliance with financial policies and procedures.