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Chief Financial Officer in Antal Sp.z.o.o.

Posted more than 30 days ago

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Antal Sp.z.o.o.

Antal Sp.z.o.o.

0
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Without experience
Warsaw
Full-time work

Translated by Google

Join a dynamically developing capital group, a leader in the renewable energy sector, where your financial decisions will have a real impact on the functioning of the company. Work on interesting projects from a strategic financial management perspective. Responsibilities Development and implementation of a financial strategy consistent with the long-term goals of the capital group. Monitoring and analysis of the financial condition of the group, including subsidiaries, from the perspective o

Join a dynamically developing capital group, a leader in the renewable energy sector, where your financial decisions will have a real impact on the functioning of the company. Work on interesting projects from a strategic financial management perspective.

Responsibilities

  • Development and implementation of a financial strategy consistent with the long-term goals of the capital group.
  • Monitoring and analysis of the financial condition of the group, including subsidiaries, from the perspective of investments.
  • Financial forecasting, risk management and identification and implementation of initiatives to improve financial efficiency.
  • Responsibility for budgeting and financial reporting processes throughout the group.
  • Supervision of the preparation of financial forecasts and their updating based on changing market and operational conditions.
  • Analyzing deviations from the budget and recommending corrective actions.
  • Managing the group's capital structure, optimizing financing costs and ensuring financial liquidity.
  • Monitoring and managing credit risk and other financial risks.
  • Coordination of financial reporting processes, in accordance with applicable accounting standards.
  • Cooperation with statutory auditors, auditors and supervisory institutions.
  • Ensuring the reliability, timeliness and compliance of financial reports.
  • Representing the group in relations with banks, investors and financial institutions.
  • Managing and developing the financial team, including accounting, controlling, treasury and tax departments.
  • Analysis of the impact of legislative and regulatory changes on the group's financial activities and taking adjustment actions, in cooperation with the legal department.
  • Implementing risk management tools and strategies to secure the group's financial interests.
  • Preparing financial analyzes for new business initiatives and supporting due diligence processes.


  • Higher education in finance, economics, accounting or management.
  • Additional qualifications such as MBA, ACCA, CIMA will be appreciated.
  • Minimum of 8 years of experience in financial management, of which at least 5 years in a managerial position.
  • Experience in financial management within the structure of a capital group, including financial management of several subsidiaries.
  • Experience in change management and adapting financial strategy to dynamically changing market conditions.
  • High communication and interpersonal skills, ability to cooperate effectively with the management board, investors and other stakeholders.
  • Experience in project management, in particular related to investment financing, mergers and acquisitions.
  • Very good knowledge of English
  • Join a dynamically developing capital group, a leader in the renewable energy sector, where your financial decisions will have a real impact onfunctioning of the enterprise. Work on interesting projects from a strategic financial management perspective.

    Responsibilities

    • Development and implementation of a financial strategy consistent with the long-term goals of the capital group.
    • Monitoring and analysis of the financial condition of the group, including subsidiaries, from the perspective of investments.
    • Financial forecasting, risk management and identification and implementation of initiatives to improve financial efficiency.
    • Responsibility for budgeting and financial reporting processes throughout the group.
    • Supervision of the preparation of financial forecasts and their updating based on changing market and operational conditions.
    • Analyzing deviations from the budget and recommending corrective actions.
    • Managing the group's capital structure, optimizing financing costs and ensuring financial liquidity.
    • Monitoring and managing credit risk and other financial risks.
    • Coordination of financial reporting processes, in accordance with applicable accounting standards.
    • Cooperation with statutory auditors, auditors and supervisory institutions.
    • Ensuring the reliability, timeliness and compliance of financial reports.
    • Representing the group in relations with banks, investors and financial institutions.
    • Managing and developing the financial team, including accounting, controlling, treasury and tax departments.
    • Analysis of the impact of legislative and regulatory changes on the group's financial activities and taking adjustment actions, in cooperation with the legal department.
    • Implementing risk management tools and strategies to secure the group's financial interests.
    • Preparing financial analyzes for new business initiatives and supporting due diligence processes.

    Videos: ACCA, CIMA

Translated by Google

Without experience
Warsaw
Full-time work
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