Financial Consolidation Manager
Jornada completa
Ruhrpumpen, Inc.
Working at Ruhrpumpen means being part of a team that values innovation, dynamism, and creativity. Continue developing your career with us and watch your potential grow. Position Summary:
The Regional Finance & Accounting Manager will be responsible for overseeing all finance, accounting, tax, for multiple legal entities within the Group. Reporting accurate and timely financial information to Headquarters. The role must be a business partner for the Operations Direction providing strategic financial support, and at the same time ensure compliance with corporate policies, local regulations, and international standards, while to management and safeguarding company assets. Key Responsibilities:
Financial Management & Reporting
The Regional Finance & Accounting Manager will be responsible for overseeing all finance, accounting, tax, for multiple legal entities within the Group. Reporting accurate and timely financial information to Headquarters. The role must be a business partner for the Operations Direction providing strategic financial support, and at the same time ensure compliance with corporate policies, local regulations, and international standards, while to management and safeguarding company assets. Key Responsibilities:
Financial Management & Reporting
- Manage all finance and accounting operations for assigned entities, ensuring compliance with IFRS and local GAAP.
- Prepare and deliver monthly, quarterly, and annual financial statements and reports to Headquarters within established deadlines.
- Oversee financial planning, forecasting, and variance analysis.
- Ensure accurate cash flow management and liquidity planning.
- Monitor and optimize working capital and external financing requirements.
- Supervise general ledger, accounts payable, accounts receivable, and intercompany transactions.
- Review and approve bank reconciliations and journal entries.
- Ensure proper documentation and internal controls to safeguard assets.
- Coordinate internal and external audits and implement corrective actions as needed.
- Ensure timely and accurate filing of all local tax obligations (income tax, VAT, withholding taxes, etc.).
- Maintain compliance with local fiscal regulations and corporate standards.
- Liaise with tax authorities and government agencies to resolve queries and maintain good standing.
- Establish and maintain strong banking relationships.
- Authorize credit lines, conduct credit checks, and manage credit contracts.
- Ensure secure and optimal use of corporate funds through effective communication with financial institutions.
- Bachelor’s degree in Accounting, Finance, or related field; CPA or equivalent certification preferred.
- Minimum 8 years of experience in finance and accounting, including multi-entity management.
- Strong knowledge of IFRS and local GAAP.
- Experience with ERP systems (SAP, Oracle, or similar).
- Advanced proficiency in English (written and spoken).
- Excellent analytical, organizational, and leadership skills.
Vacante publicada el 10 días atrás
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