8 авг

finance manager in renewable energy

ориентир по рынку
вакансия зп не указана
в среднем 274 199 ₽
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описание

Smart Global BV operates in renewable energy semiconductor manufacturing, renewable energy services, and energy technology.

задачи

  • Manage finance, accounting, tax, payroll-related financial processes, and statutory reporting for the Netherlands entity;
  • Oversee and coordinate financial processes, reporting, and follow-up activities across European operations;
  • Manage financial closing, consolidation, budgeting, cash flow, cost control, and management reporting processes;
  • Ensure accurate and timely financial reporting under IFRS and local accounting standards;
  • Follow up on tax, VAT, corporate tax, transfer pricing, intercompany invoicing, and related processes with local advisors;
  • Act as the main finance contact for accounting firms, tax advisors, auditors, banks, and public authorities;
  • Monitor financial risks, establish control points, and provide recommendations to management;
  • Identify, secure, and manage financing and funding sources across European entities;
  • Maintain relationships with banks and financial institutions;
  • Support the standardization, improvement, and implementation of finance processes across Europe;
  • Use SAP FI/CO and other finance systems for accounting, cost center tracking, budgeting, reporting, closing, and analysis;
  • Support SAP improvement, integration, or implementation processes when required;
  • Coordinate finance activities between the Türkiye headquarters and European operations.

требования

  • Bachelor’s degree in Finance, Accounting, Business Administration, Economics, or a related field;
  • Minimum 8 years of experience in finance, accounting, controlling, reporting, or similar roles;
  • Strong experience in finance, accounting, tax, and statutory reporting processes;
  • Experience managing or coordinating finance processes across European countries;
  • Strong knowledge of IFRS and local accounting standards;
  • Experience in budgeting, cash flow management, cost control, financial analysis, monthly closing, and management reporting;
  • Good understanding of tax, VAT, corporate tax, transfer pricing, and intercompany invoicing;
  • Experience working with accounting firms, tax advisors, auditors, banks, and public authorities;
  • Strong analytical thinking, risk awareness, follow-up discipline, and problem-solving skills;
  • Ability to work in a fast-growing, multi-country, and dynamic business environment;
  • Excellent command of English;
  • Strong communication, coordination, and stakeholder management skills;
  • Nice to have: SAP implementation, improvement, integration, or key user experience; Dutch language skills.

условия

  • Office role in Amsterdam, Netherlands.

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