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Finance & Tax Manager - trading company (west part of Warsaw)

Michael Page

international trading company (west part of Warsaw) ACCA/CIMA/CPA/tax advisory certification - added value

About Our Client

You will be responsible for whole finance area (accountancy, tax, reporting etc.), being partner/advisor for CFO in Poland and point of contact for HQ.
Candidate will be leading team of 2 people.

Candidate must have:
+ good practical knowledge of polish accounting (taxes, statutory)
+ practice in financial/management reporting
+ people management skills (delegating, influencing)

Our client is international trading company, located near the west part of Warsaw (Ursus/Bemowo - A2/S8).
It is a perfect offer for candidates who seek for new challenges and want to be part of stable and growing company.

* international trading company (west part of Warsaw)
* interesting role: full accountancy + controlling

Job Description

  • Responsibility for finance, tax and reporting processes of polish entity (local accounting + group reporting)
  • ACCOUNTING & TAX

    • Led and supervise a finance team (2 FTEs) - reviewing deliverables to ensure accuracy, compliance, and adherence to internal controls.
    • Overseeing tax compliance processes, including the review of VAT, CIT, WHT, and other tax filings prepared by the Chief Accountant.
    • Managing tax risk by providing guidance to the business and monitoring changes in tax regulations, assessing their potential impact on company operations.
    • Overseeing the accuracy of financial reporting (P&L, BS, CF) - in close cooperation with the Chief Accountant and Group Finance.
    • Ensuring timely monthly and quarterly financial reporting.
    • Cooperation with local and global stakeholders across the organisation.
    • Preparing and coordinating reporting requirements for banks, tax authorities, and the Central Statistical Office.
    • Intercompany reconciliations and balances.
    • inventory management and stock control activities.
    • Supervising settlements with banks, suppliers, customers, and other business partners, including the management of provisions and accruals.
    • Managing and coordinating annual external and internal audits, as well as tax inspections.

    (GROUP) REPORTING/CONTROLLING & TREASURY:

    • Preparing of financial & business reports
    • Treasury/cash flow and liquidity area - managing working capital and preparing cash flow forecast ; foreign exchange exposure (international transactions)
    • Management reporting to HQ as well as preparing analysis and business explanations regarding the figures in the reports (pricing, margin, profitability, cost optimisation and operational efficiency )
    • Budgeting and forecasting processes in co-op with Finance Director

    The Successful Applicant

    • Min. 4-5 years of experience on complex finance role (Finance/Accounting Manager; Chief Accountant with reporting duties)
    • Practical experience in preparing tax declarations and financial statements
    • Operational (not only managerial) experience in covering finance area for company (accounting, controlling, reporting)
    • Wide area of duties (taxes, financial statements, reporting)
    • Practical knowledge of polish reporting and tax compliance requirements
    • Profile: business oriented, 'team player' with clearly communication with various levels of management, hands-on approach
    • Very good command of English (both spoken and written)
    • Experience in SAP (added value but not necessary condition)
    • ACCA/CPA/CIMA/Tax advisory certification - huge added value
    • What's on Offer

      • permanent contract
      • hybrid work: 1x home + 4x office
      • very good location (near S8/A2)
      • private medical care, sport card
      • annual bonus
Oferta pracy dodana 10 dni temu