от компании (организации): ООО ЭЛЕКТА в городе (населённом пункте): Москва, Россия
в отрасли экономики "Бухгалтерия, управленческий учет, финансы" → "Финансовый анализ"
с заработной платой: по договоренности
Вакансия № 22519834 добавлена в базу данных сайта Работа в Москве и Московской области (МО, Подмосковье): Воскресенье, 25 августа 2024 года.
Дата обновления вакансии № 22519834 на сайте Работа в Москве и Московской области (МО, Подмосковье): Воскресенье, 22 сентября 2024 года.
Обращаем Ваше внимание, что на момент обращения к работодателю вакансия № 22519834 может быть уже занята. Администрация сайта Работа в Москве и Московской области (МО, Подмосковье) приносит извинения за доставленные неудобства.
Требования к опыту работы:
3–6 лет
Тип занятости:
полная занятость
График работы:
полный день
Дополнительные сведения о вакансии: Finance manager/accountant
Responsibility:
Statutory accounting and Reporting
- Statutory reporting check (CIT, VAT, FSS, statistic etc.)
- Coordinating local accounting outsourcing company in different jurisdictions.
- Liaising with local accounting outsourcing company regarding audit and other ad-hoc matters.
- Support Business Controller in Month /Quarter/Year closure
- Coordination with the auditors for successful completion of statutory audit.
- Preparation replies on Tax authority request.
- Communication with Tax Authorities during the tax audits.
- AR&AP
- Receivable/Payable cycle management, tracking and analyze.
- Overseeing the control of Payables and Receivables.
- Supplier and customer reconciliations.
- Interaction with customers, suppliers.
- To raise purchase orders for the finance department.
Import
- Customs declaration upload to local accounting system 1C.
- Customs invoice vs internal invoice analyze in case variance to find route cause.
Intercompany
- Internal invoices review (VAT – non-VAT)
- Preparation instruction to issue Act of rendered services
- Cross-charge invoices and Act’s preparation
B&P
- Preparation and verification of payment requests.
Currency control documentation preparation
Cash management
- Cash flow report preparation (monthly)
- Cash book preparation (weekly)
- Cash collection (constantly)
Other
- Liaising with other departments on a range of issues.
- Participation in different projects to provide financial insights and solutions
- Ensure Business related activities / transactions are in line with company procedures and internal control requirements.
- Continuous development of processes & reports to drive increased operational efficiency.
Ad hoc activities to support business needs
Requirements: - Over 5 years’ experience in finance, accounting related areas at position Chief accountant, deputy chief accountant or finance manager.
- Knowledge of local accounting and tax rules and legislation
- Ability to do all jobs by yourself without subordinates
- Higher education (finance, economics, accounting).
- Attention to detail, good organizational and record-keeping skills.
- Able to identify problems in processes and resolve them in a quick and timely manner.
- Good communication & interpersonal skills.
- The ability to manage and prioritize multiple requirements is required.
- Language: Russian native, English: intermediate.
- Clear understanding of the importance of confidentiality
- Experience within a multinational environment (desirable)
Conditions:
full time job
Откликнуться на эту вакансию: Finance manager/accountant
Предыдущая вакансия:
Вакансия № 22519831 на должность Администратор (удаленно) от компании ООО Палиндром в городе (населенном пункте) Москва