4 авг

Finance Manager

ориентир по рынку
вакансия зп не указана
в среднем 274 199 ₽
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описание

gategroup operates in the airlines and aviation industry. Its gateretail business provides commercial finance support for strategic airline customer accounts.

задачи

  • Manage two FTEs, including team oversight, performance management, and workload planning;
  • Act as finance manager for a strategic customer P&L;
  • Prepare and present monthly reports and facilitate monthly review meetings;
  • Lead commercial discussions with the customer alongside the account director;
  • Build collaborative relationships with the wider business and the customer;
  • Manage the customer relationship from the finance side;
  • Lead finance activities in contract extension discussions and support negotiations of future contractual terms and conditions;
  • Partner with business and finance teams on commercial initiatives;
  • Ensure targets are met when launching New Product Ranges and provide commercial direction throughout the process;
  • Prepare annual budgets and monthly forecasts;
  • Perform monthly Profit Centre Analysis and variance analysis against budgets and forecasts;
  • Provide analysis and commentary explaining actual performance versus targets;
  • Support monthly Balance Sheet reconciliations;
  • Lead stock reconciliation alongside the dedicated Stock Controller;
  • Prepare Intercompany Recharge Invoices and third-party accruals;
  • Ensure internal controls are followed in daily operations;
  • Work with Accounts Payable to ensure accurate invoice coding and processing;
  • Perform multi-currency reconciliations;
  • Maintain relevant records and support external and internal audits;
  • Foster continuous improvement of processes, models, forms, and templates for P&L review and reporting;
  • Lead the enhancement and compliance of Business Finance processes, standards, and systems;
  • Provide ad hoc support on other finance projects.

требования

  • 7 Years of relevant finance experience, including reviewing BS/P&L reports and analyzing trends;
  • Experience with intercompany reconciliation;
  • Knowledge of relevant accounting terms and concepts;
  • Experience preparing forecasts and budgets;
  • Good understanding of business strategy and methodology;
  • Advanced Excel skills;
  • Excellent verbal and written English skills;
  • Must have the right to live and work in Serbia;
  • Nice to have: Master’s degree in Business, Economics, Math, or Engineering, ACCA/CIMA or local accounting qualification, SAP and HFM experience, multi-currency FX calculations, understanding of International Accounting Standards.

условия

  • The position is based in offices in New Belgrade.

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