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OZEInne
3 tygodnie temu
Financial Manager – real estate fund
HR Design Group
(Masovian)
Nie określono
Wynagrodzenie nieujawnione
Umiejętności i technologie
Nie określono wymaganych umiejętności
Opis stanowiska
Brak opisu stanowiska.
Wymagania
Master’s degree in accounting, finance, or related field.
3+ years of experience in accounting or finance, preferably in a similar role.
Proficient in Microsoft Excel, familiarity with accounting software.
Understanding of accounting principles, financial reporting, and budgeting.
High level of accuracy in data entry and financial reporting.
Strong written and verbal communication skills to interact effectively with team members and service suppliers.
Ability to prioritize tasks and meet deadlines in a fast-paced environment.
Polish & English has to be fluent.
Ability to work all the time at the office (no hybrid type of work).
Obowiązki
Financial Reporting: Assist in the preparation of monthly, quarterly, and annual financial statements. Perform data entry and reconciliation of financial transactions to ensure accurate records. Help with the preparation of financial reports for internal needs.
Accounting and Bookkeeping: Supervision of the correct circulation of accounting documents. Support the accounting company with general ledger entries, journal entries, and account reconciliations. Assist in processing accounts payable and receivable transactions and ensure timely payments and collections. Help maintain and organize financial records in compliance with accounting policies and procedures.
Budgeting and Forecasting: Assist in the preparation of departmental and company-wide budgets, providing necessary data and support. Monitor actual expenditures against the budget, assisting in variance analysis. Provide support for periodic forecasting and ensure financial targets are met.
Internal Controls: Help prepare documentation for internal and external audits. Ensure the accuracy and timeliness of financial reporting and data integrity.
Cash Flow Management: Help monitor and track cash flow to ensure that the company’s financial needs are met. Assist in the preparation of cash flow forecasts.
Tax Compliance: Preparing, in cooperation with tax advisors and accountants, reports and statements for the needs of the management board, banks and external institutions, i.e. analysis and reporting of WHT, NBP reporting, GUS reporting, transfer pricing documentation, real estate company reporting, etc.
System and Process Support: Optimization of reporting and planning processes.
Other Administrative Duties: Provide general administrative support. Prepare financial data and reports for ad-hoc requests from management. Contacting and cooperating with external institutions (i.e.US, ZUS, GUS, NBP).
Benefity
sharing the costs of sports activities
private medical care
sharing the costs of foreign language classes
sharing the costs of professional training & courses