Finance Manager role is open at our multinational partner who operates with a research company in the agricultural industry. We are seeking an experienced professional to lead and oversee all financial, accounting, administrative, and compliance activities.
About the role:
This role is responsible for ensuring accurate and compliant financial reporting while supporting strategic decision‑making. It oversees budgeting, forecasting, cash flow, and audit coordination, leads the finance team, and works closely with international stakeholders. Acting as a trusted advisor to the General Director and regional leadership, the role strengthens internal controls, drives operational excellence, and supports the organization’s long‑term financial sustainability.
Key Responsibilities:
- Contribute to strategic and operational financial planning and execution.
- Provide senior leadership with accurate financial and operational insights to support decision‑making.
- Ensure compliance with internal policies, legal requirements, and corporate governance standards.
- Manage relationships with governmental bodies, authorities, and relevant external organizations.
- Oversee accounting, treasury, and controlling activities for Hungary and the Czech Republic, coordinating closely with external accounting partners and gradually establishing an internal accounting framework.
- Supervise monthly closings, budgeting, forecasting, and financial analyses.
- Monitor cash flow, liquidity, receivables, and payables to ensure timely payments and collections.
- Approve financial transactions, including invoices, payroll, taxes, and benefits, in line with bank and internal processes.
- Manage credit risk, customer and supplier balances, and support collection and recovery activities.
- Build and operate effective credit management and internal control systems.
- Maintain relationships with banks and financial institutions to secure financing and favorable terms.
- Coordinate annual audits for the Hungarian and Czech entities and serve as the main point of contact for auditors.
- Manage cooperation with outsourced accountants and legal advisors.
- Prepare and deliver regular financial reports and management analyses.
- Coordinate monthly accounting packages and administrative processes, including expense tracking, employee advances, and petty cash management.
- Lead, develop, and motivate the finance team in line with business objectives.
Qualifications:
- Bachelor’s degree in Finance, Accounting, Business Administration, Economics,
- Solid knowledge of IFRS
- Knowledge of local accounting regulations
- Fluency in English is a must
- Strong communication and stakeholder management skills
- Strong leadership and people management skills, with the ability to motivate and develop teams.
- Adaptability to work across different countries, cultures, and regulatory environments.
- Collaborative mindset, fostering cross‑functional cooperation.
The company offers:
- Attractive benefit package
- Company car
- Flexibility in home-office
How to apply:
To apply for the position, click on ‘Apply Now’ and send us your English CV.