| Key Responsibilities: |
- Be responsible for the compilation, calculation and submission of Regulatory information during the year including all necessary liaison with the local office
- Offer advanced professional knowledge of GAAP
- Manage and control the preparation of the Year-End packs, submissions for consolidated accounts and the associated timetable for all Group entities
- Manage and control the preparation of the Statutory Accounts and the associated timetable
- Prepare accounts, (P&L, balance sheet and cash flow) and reporting giving insight to the KPIs under GAAP
- Build and maintain reporting formats and hierarchies
- Maintain a strong financial control infrastructure
- Understand the core processes and areas of risk within the business area and work with the management team to mitigate them
- Assist with the month-end accrual process
- Prepare variance analysis and supporting schedules on Balance Sheet accounts
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| Key Responsibilities: |
- Strong financial and commercial acumen
- Significant knowledge and experience of ‘hands on’ finance business partnering
- Ability to explain complex financial information to non-financial colleagues
- Significant and complex financial analysis of activities, projects and plans
- In depth understanding of the financial services industry including current issues, trends and developments
- Good understanding of the key financial drivers for the region
- In depth understanding of the regulatory environment in the finance sector
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| Key Experience: |
- 4 years experience working in a financial services firm
- Fluent English and preferably other European language
- Experience of delivering diverse financial information requirements in a complex organisation
- Operational experience with U.S. GAAP, and IFRS
- Business degree preferred
- Prior work experience in a multinational organisation and matrix reporting structure
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| Sector(s): |
- Pénzügy / Számvitel / Menedzsment
- Elemző / Tanácsadó
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