Next job

Financial Director of Golden Staff in Golden Staff

Posted more than 30 days ago

1 view

Golden Staff

Golden Staff

0
0 reviews
Without experience
Kyiv
Part-time work

Translated by Google

Financial Director/Financial ManagerLocation: Kyiv / Hybrid format (in the office - once a week, Basseina Street)Employment type: Full-time, 8-hour working dayStaff role - long-term, also possible as project work, for example CVP analysis (Cost–Volume–Profit Analysis) or other methods of analysis, models for determining the break-even point.About the companyGolden Staff is a company with over 25 years of experience in professional recruitment and training of personnel.We are trusted by 500+ clie

Financial Director/Financial Manager

Location: Kyiv / Hybrid format (in the office - once a week, Basseina Street)
Employment type: Full-time, 8-hour working day

Staff role - long-term, also possible as project work, for example CVP analysis (Cost–Volume–Profit Analysis) or other methods of analysis, models for determining the break-even point.

About the company

Golden Staff is a company with over 25 years of experience in professional recruitment and training of personnel.

We are trusted by 500+ clients in Ukraine and Poland: international corporations, banks, manufacturing leaders, IT companies. We create programs that really change business - and you will help customers see this result.

We are scaling, so we invite to our team a CFO who will help us move confidently and systematically.

Area of responsibility and key tasks:

  • Audit and optimization of the organizational structure of the financial department and distribution functional.

  • Organization of accounting for a group of companies (LLC and FOP).

  • Ensuring timely and correct submission of tax and financial reporting.

  • Timely formation of reliable management reporting: P&L, Cash Flow, Balance.

  • Preparation of consolidated financial reporting group of companies.

  • Setting up and auditing of accounting document flow and personnel records.

  • Planning of income and expenses.

  • Maintenance of payment calendar and prevention of cash gaps.

  • Implementation and observance of limits on company accounts (LLC, FOP).

  • Management of balances on accounts in terms of legal entities and in general by group.

  • Implementation and support of the budgeting process.

  • Development of proposals to optimize the tax policy of the enterprise and their implementation.

  • Automation of management and accounting processes.

  • Administration of the 1C database in cooperation with programmer.

  • As an advantage or a separate project:CVP-analysis (Cost–Volume–Profit Analysis) or other methods of analysis, models for determining the break-even point

Requirements for the candidate:

  • Experience as a financial manager or director

  • Deep knowledge of accounting and tax accounting

  • Experience in preparation of P&L, Cash Flow, Balance, consolidated financial statements

  • Skills to automate accounting and work with 1C (adjustment, refinement, control of work).

  • Ability to manage a team and control the execution of tasks.

  • Analytical thinking, attentiveness to details, responsibility.

@Vikirec

Translated by Google

Without experience
Kyiv
Part-time work
Want to get related jobs?
New job openings in your Telegram
Subscribe
We use cookies
accept