Oferty
Manager, Banking Accounting EMEA
Nowa
Finanse

Manager, Banking Accounting EMEA

Wrocław
Rodzaj pracy
Pełny etat
Doświadczenie
Manager/C-level
Forma zatrudnienia
UoP
Tryb pracy
Praca hybrydowa

Wymagane umiejętności

księgowość

bankowość

zarządzanie zespołem

język angielski

Mile widziane

SAP

Opis stanowiska

Join our dynamic finance team in Wrocław as a Manager, Banking Accounting EMEA where you'll play a pivotal role in managing a high-performing team and driving financial operations for 18+ legal entities across EMEA.


  • Location: Wrocław-based role with a flexible hybrid work model (2 home-office days per week).
  • Team Leadership: Lead and mentor a team of 3-5 skilled banking accountants, fostering professional growth and ensuring seamless daily operations.


  • Monitor bank access of EMEA team members and coordinate access granting and termination with Corporate Treasury team;
  • Ensure timely clearings, postings and reconciliations of entries related to Credit Card Cash Collector Agents are performed by the Banking Accountants;
  • Being primary point of contact for Corporate Treasury Team on our portfolio of legal entities and participate on monthly and ad hoc Treasury calls;
  • Review and approve Journal entries and reconciliations prepared by team members;
  • Collecting, following up on loan agreements, documentation which is needed for local audits of our portfolio of legal entities;
  • Collaborate and coordinate activities with different internal business partners (EMEA Finance Team, Corporate Treasury Team, Corporate Accounting Team, Shared Service Center AR and AP based in Costa Rica);
  • Understand and share information on EMEA local requirements related to bank account setups;
  • Work with Corporate Treasury and EMEA Accounting Managers on EMEA related ICO settlements.
  • Participate in projects as Banking EMEA representative including SAP projects.
  • Provide coaching and supervising to subordinated team members and ensure guidance is followed;
  • Prepare, summarize and follow-up on items discussed during the treasury / banking calls with the corporate and treasury team;
  • Coordinate Month end close process for assigned general ledger activities;


In this role, you’ll need … 

  • University Master degree in accounting or equivalent experience is required;
  • 5+ years of relevant experience in Banking and Accounting with increasing levels of responsibility;
  • Experience in developing, mentoring and creating a team environment.
  • Proficiency in general accounting under US GAAP and SOX requirements;
  • Ability to partner with cross-functional groups to drive and influence business solutions;
  • Problem solver, system oriented and strong analytical skills;
  • Excellent written, oral and communication skills in English to work with management and cross-functional groups;
  • Detailed-oriented with effective organizational and time management skills;
  • Knowledge and experience in accounting and treasury operations with strong attention to detail;
  • Expertise with SAP and Blackline a plus; 


Benefits:

  • Private healthcare Luxmed,
  • Multisport card,
  • Private insurance,
  • Meal vouchers,
  • Co-financing of company products,
  • Employee Support Program.

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