Financial planning & budgeting: Prepares annual budgets, forecasts cash flow, and monitors actual vs. budget to guide management decisions.
Financial reporting & analysis: Reviews and approves financial statements, analyzes variances, and provides insights on profitability, costs, and trends for management.
Cash and asset management: Oversees collections, disbursements, bank transactions, and ensures sufficient cash flow while protecting company assets.
Compliance & controls: Ensures adherence to accounting standards, tax and regulatory requirements, and implements internal controls to prevent errors and fraud.
Team leadership: Supervises accounting and finance staff, assigns tasks, reviews work, and drives process improvements and system upgrades.
Support to management: Provides financial advice for major decisions (investments, pricing, cost-cutting, expansions) and participates in strategic planning.
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