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Finance Manager

JUST ONE, on behalf of its client, one of the world’s largest wind turbine manufacturers, is looking for a:

Finance Manager

Responsibilities :

  • Review the monthly profit and loss account to ensure revenue and costs are correctly booked and reported.

  • Preparation of profit centre analysis, budget and forecasts.

  • Balance sheet reconciliations.

  • SAP super user for both accounting and reporting purposes

  • Co-ordination with auditors and external accounting firm for the preparation of the local financial statements of company under Greek GAAP.

  • Prepare annual reporting packages under IFRS.

  • Interface with external professional advisors as required (e.g. auditors, tax advisors, lawyers etc.)Coordinate vendors’ payment process.

  • Debtors reporting and aged debt profiling each month; oversee the dunning process and follow up on overdue amounts.

  • Support company's Treasury department with any treasury matters, including cash forecasts.

  • Align with external consultants as well as with company's Tax department on the preparation of the annual tax return and monthly VAT reports, including its submissions.

  • Ensure correct tax and customs reporting to Greek authorities.

  • Tax & VAT balance sheet reconciliations.

  • Providing tax and statistical reporting to statutory authorities.

  • Drafting and negotiating of minor purchasing contracts with local vendors (e.g. office rental contract, HSE services, utilities etc.), with support from legal and MD

  • Responsible for Payroll reconciliations activities

  • Responsible for payroll flow payments and managing of external accounting and payroll provider.

  • Provide guidance and support to the operations staff relevant to the finance accounting processes and procedures.

  • Coordinate and oversee the recharges of cross-border activities in coroperation with People & Culture

  • Optimization and moving external consulting preparations like VAT, Tax calculations and AFS (annual financial statements ) inhouse, with support from external service providers.

  • Consider and implement new ways of working, efficiencies, RPA’s (Robotic Process Atomization), internal controls and process improvements.

Candidate Profile

  • At least five years related experience.

  • Affinity to improve and automate financial processes with relevant experience.

  • Must possess a strong understanding of IFRS requirements and financial controls.

  • Working knowledge of forecasting and financial reports.

  • Working experience in international environment is an advantage.

  • Ability to work with all levels of management.

  • Strong organizational, problem-solving and analytical skills; able to manage priorities and workload.

  • Versatility, flexibility and willingness to work within constantly changing priorities with enthusiasm.

  • Excellent presentation skills.

  • Strong teamwork orientation and flexibility to adapt to frequent organization changes.

  • Bachelor’s degree (finance) or equivalent. Advance degree or CPA / CA certification a plus.

  • Experience of the financial control and reporting requirements.

  • Proficient in Microsoft Power Point, Excel, Power BI, as well as SAP FI/CO.

  • Excellent English skills

The company offers

  • Competitive remuneration package

  • Excellent working conditions in a pleasant, modern and dynamic work environment

  • Training and professional development opportunities

To apply, please send your CV at with the reference ''FM''

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