Er wordt voor deze snelgroeiende "NASDAQ" organisatie een Interim-manager gezocht.
SAP, komt implementatie aan
Zeer ervaren met leidinggeven binnen SSC, liefst ook ervaring met inrichten
Ervaring met procesoptimalisatie
NASDAQ notering, ervaring met soortgelijke clubs is pre
Pharma ervaring is een pre.
Dutch nice to have
English vloeiend is must
Ervaring met Treasury en Tax
Zeer repre is een eis
4 maanden, start asap
Tarief 90/100 verkoop max
We are looking for a finance director with a focus on financial systems and processes as well tax and treasury to strengthen our Finance team that currently consists of 8 employees. We are looking to add a seasoned and dynamic person to our team that enables our company to scale to the next level and support the growing infrastructure needs from a financial processes perspective.
Take a leading role in optimization of systems and processes related to financial operations, including payroll, invoices, expense management, among others
Assist in the evaluation of financial systems, including enhance ERP system, related to financial processes
Help in maintaining and consolidating books for all the corporate entities from an accounting perspective
Will require coordination with internal and external parties in the implementation of new systems and processes
Perform general assistance in the accounting process when needed
Review/manage all aspects of the Company’s taxes, including income tax (federal and state), sales/use tax and property tax.
Review month-end, quarter-end, and year-end tax closings
Assist external auditors with tax provision review and other areas as needed.
Manage sales/use tax audits.
Manage all special tax projects.
Research and make recommendations to mgmt concerning various tax laws and impacts.
Manage VAT refund process.
Review and manage all aspects of Treasury, including daily cash, FX hedging submissions, forecasting, etc.
Responsible for compliance with Board approved investment policy. Review and recommend changes to the investment policies based on the market conditions.
Manage long-term and short-term investment strategies as well as investment portfolios internally and with third parties
Evaluate, develop and implement cash management systems to optimize efficiencies.
Completed education at Master / MBA level
5 – 10 year work experience in a comparable role
Knowledge of investment portfolio strategy, banking, and financial instruments.
General knowledge of IFRS/GAAP and SEC reporting requirements for investments and other financial instruments.
Financial operations experience mandatory
Tax experience highly desirable
Knowledge of treasury software expertise is a plus.
Strong computer skills; Advanced spreadsheet and modeling skills; Experience in working with SAP is a plus
Able to break down problems into meaningful parts and come to rational and well-thought out conclusions
Experience in presenting and preparing proposals to recommend new products/services.
Experience leading, coaching and developing staff.
Advanced analytical, organizational, and interpersonal skills.
Excellent collaboration, verbal and written communication skills.
Enthusiastic and committed person who is able to think outside the box.
Reactie is prive en alleen zichtbaar voor de opdrachtgever en de plaatser van de reactie.
Je moet inloggen voordat je een reactie kunt plaatsen.