Finance Manager (m/f)

Goldman Recruitment - Executive Search / Search & Selection

Piaseczno

On-site

PLN 120,000 - 160,000

Full time

4 days ago
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Job summary

Goldman Recruitment - Executive Search / Search & Selection is assisting an international electronics company in recruiting a hands-on Finance Manager to independently manage the Polish entity's key finance processes. The role emphasizes ownership of budgeting, forecasting and cash flow, with close collaboration to local management and Group Finance.

You will ensure accurate management reporting, performance analyses and compliance with Polish regulations, while driving improvements across

Qualifications

  • At least 5 years of experience in controlling, financial management or reporting.
  • Strong knowledge of budgeting, forecasting, cash flow and financial analysis.
  • Good understanding of accounting and Polish tax regulations.
  • Experience in cooperating with external accounting or tax providers.
  • Strong business orientation, independence and ownership.
  • Fluent Polish and English.
  • Experience in an international organisation would be an advantage.

Responsibilities

  • Leading budgeting, forecasting and cash flow planning
  • Monitoring financial performance, liquidity and working capital
  • Preparing management reports, variance analyses and financial recommendations
  • Supporting local management in operational and strategic decision-making
  • Coordinating monthly and annual closing processes
  • Overseeing external accounting, payroll and tax providers
  • Ensuring compliance with Polish regulations and Group policies
  • Cooperating with auditors, banks and Group Finance
  • Improving financial processes, internal controls and reporting tools

Skills

Budgeting
Forecasting
Cash flow
Financial analysis
Independent
Business orientation

Job description

For our Client, an international company operating in the electronics industry, we are looking for a hands-on Finance Manager who will independently manage the key finance processes of the Polish entity.

Responsibilities:

leading budgeting, forecasting and cash flow planning,

monitoring financial performance, liquidity and working capital,

preparing management reports, variance analyses and financial recommendations,

supporting local management in operational and strategic decision-making,

coordinating monthly and annual closing processes,

overseeing external accounting, payroll and tax providers,

ensuring compliance with Polish regulations and Group policies,

cooperating with auditors, banks and Group Finance,

improving financial processes, internal controls and reporting tools.

Requirements:

at least 5 years of experience in controlling, financial management or reporting,

strong knowledge of budgeting, forecasting, cash flow and financial analysis,

good understanding of accounting and Polish tax regulations,

experience in cooperating with external accounting or tax providers,

strong business orientation, independence and ownership,

fluent Polish and English,

experience in an international organisation would be an advantage.

The offer:

a key finance role with broad responsibility and autonomy,

direct cooperation with local management and international Group functions,

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