Responsibilities
- Own financial reporting and closing activities (monthly/quarterly, IFRS & local GAAP), including cash flow and management reporting
- Manage the full accounting cycle, including GL, reconciliations, and treasury-related activities
- Ensure compliance, internal controls, and accurate financial records, working closely with the local accounting agency
- Support audits and reporting requirements for management, HQ, and external stakeholders
- Contribute to budgeting, forecasting, and financial planning, providing insights to support the business
- Collaborate with HQ, internal teams, and auditors in an international setup
- Drive process improvements and automation across finance activities
Requirements
- Background in Finance, Accounting, Economics, or a related field
- Extensive knowledge of IFRS, local GAAP, and experience with ERP systems and both transactional and financial accounting processes
- Self‑motivated with strong financial judgment, high attention to detail, and a drive to improve processes
- Excellent organizational and prioritization skills with the ability to structure work effectively and deliver within tight deadlines
- Effective communication skills and the ability to collaborate with remote, cross‑functional, and HQ team
Your Benefits:
- Medical insurance
- SZÉP card
- Birthday holiday
- Continuous development, innovation, and professional advancement through dedicated training and certifications
- Remote work experience reimbursement
- Employee Assistance Program
Jelentkezés a pozícióra
Töltsd ki az adatokat, és csatold az önéletrajzod.