Finance Manager
CurrentMy key responsibilities include:- Ensuring timely and precise monthly reporting for group consolidation, covering the Balance Sheet, P&L, Cash Flow, and Reporting package.- Overseeing and enhancing a strong control environment.- Serving as the primary point of contact for key external stakeholders, including auditors, banks, the company registration office, and tax authorities.- Conducting regular cash forecasting and treasury management.- Supervising daily accounting operations, including payments, invoices, intercompany transactions, and payroll.- Playing a significant role in group-wide budget planning and forecasting.- Collaborating closely with senior stakeholders and the executive management team across various departments and regions.- Ensuring compliance with IFRS for group reporting and adhering to local GAAP.- Preparing statutory financial statements- Managing regular tax reporting, including VAT and corporate income tax.- Development of business cases for capitalization of technical projects.- Managing and mentoring two direct reports, fostering their professional growth and development.