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Country Finance Manager (m/w/d) ad interim

Interim Excellence GmbH

Deutschland

Vor Ort

EUR 40.000 - 60.000

Vollzeit

Vor 12 Tagen

Zusammenfassung

Ein internationales Unternehmen sucht einen Country Finance Manager (m/w/d) ad interim, um die Finanzen der türkischen Tochtergesellschaft zu stabilisieren und strategisch zu entwickeln. Die Rolle umfasst die Leitung eines effizienten Finanzteams, die Sicherstellung der Einhaltung gesetzlicher Vorschriften sowie die Überwachung von Finanzberichten und -analysen. Ein CA(SA)-Abschluss und Kenntnisse in türkischen Steuergesetzen sowie IFRS sind erforderlich.

Qualifikationen

  • Starkes finanzielles Hintergrundwissen, insbesondere in der Fertigungsindustrie.
  • Verständnis für türkische Steuergesetze, IFRS und Finanzvorschriften.

Aufgaben

  • Finanzstrategien implementieren und an die Unternehmensziele anpassen.
  • Monatliche Berichterstattung über den Gewinn und Verlust an das Management.
  • Überwachung der Einhaltung von gesetzlichen Vorschriften.

Kenntnisse

Finanzplanung und Berichterstattung
Compliance-Management
Risikomanagement
Interne Kontrollen
Internationales Rechnungswesen

Ausbildung

Chartered Accountant CA(SA)

Jobbeschreibung

Further Development And Securing Of Financial Stability For The Turkish Subsidiary Of A Global Industrial Company

Allgemeine Projektdaten
Position
Country Finance Manager (m/w/d) ad interim
Tagessatz
nach Vereinbarung
Spesen
zzgl. Spesen
Laufzeit
01.08.2025-31.12.2025
Einsatzland
Türkei
Einsatzort
nicht veröffentlicht
Erfdl. Verfügbarkeit
100 %
Branche
Funktion
Finanzen & Controlling
Leistung

Our client, an international industrial company, is looking for a Country Finance Manager (m/f/d) ad interim to stabilize the finances and strategically develop the Turkish subsidiary. The role focuses on building an efficient finance team, managing FP&A processes, ensuring compliance with regulations, and working closely with the Country Manager and the Executive Board.

  • Financial planning and reporting
  • Implement financial strategies aligned with the company's goals and objectives
  • Coordinate and monitor the preparation of annual budgets and financial forecasts
  • Responsible for overall Profit and Loss monitoring and reporting monthly to both local and international management
  • Analyze financial data and provide insights to support business decision-making
  • Monitor financial performance and provide regular reports to the executive team
  • Oversee and support the preparation and submission of financial statements in compliance with IFRS and local accounting standards.
  • Compliance and risk management
  • Ensuring compliance with Turkish and international laws and regulations as well as internal policies and procedures
  • Monitoring the preparation and submission of annual financial statements, tax returns, and other required reports
  • Developing and implementing robust internal control processes to manage financial risks
  • Serving as the globally appointed local compliance officer
  • Performing the role within the management in accordance with the company's articles of association
  • Preparing the documentation for the board of directors' meetings and reporting to the board of directors on the company's financial position
  • Public officer for financial matters, ensuring compliance with relevant laws and regulations. Ensuring the filing of statutory returns, compliance with tax laws, and cooperation with the relevant tax authorities
  • Acting as the central point of contact for regulatory authorities, auditors, and other stakeholders
  • Procurement and accounts payable
  • Oversee the procurement process, ensuring compliance with procurement policies and guidelines
  • Review and approve supplier contracts and agreements
  • Supervise accounts payable activities and ensure accurate and timely processing of
    payments
  • Accounts receivable and finance
  • Monitor and manage the accounts receivable process, including credit limits, debt collection, and cash flow
  • Coordinate with relevant teams to ensure accurate and timely invoicing and revenue recognition
  • Treasury
  • Oversee treasury and cash management activities, including cash flow forecasting
  • Advise in banking relationships
  • Oversee the process, SARB compliance and approval of cross-border transactions and payments
  • Manage currency risks, including hedging requirements
  • Order management
  • Providing financial information and analysis to support project planning and execution
  • Monitoring project budgets, expenditures, and profitability
  • Identifying and implementing process improvements
  • Strong financial background in managing small sized companies esp. in the area of manufacturing including closing, tax, accounting, controlling, and legal aspects
  • Must have a Chartered Accountant CA(SA) qualification or relevant equivalent qualification
  • Solid understanding of Turkish tax laws, IFRS, and financial regulations, as well as the Companies Act
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