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Przegląd Statystyki wynagrodzenia zawód "Financial Controller w Mazowieckie"

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Przegląd Statystyki wynagrodzenia zawód "Financial Controller w Mazowieckie"

12 000 zł Średnia miesięczna pensja

Średni poziom płac w ciągu ostatnich 12 miesięcy: "Financial Controller w Mazowieckie"

Waluty: PLN USD Rok: 2024
Wykres słupkowy pokazuje zmiany w poziomie przeciętnego wynagrodzenia zawodu Financial Controller w Mazowieckie.

Podział miejsc pracy "Financial Controller" na obszarach Mazowieckie

Waluty: PLN
Jak widać na wykresie, w Mazowieckie największą ilość wakatów zawodu Financial Controller otwarcie w Warszawa. Na drugim miejscu - Sochaczewski, a na trzecim - Grójecki.

Polecane oferty pracy

Financial Controller
Hays, Warszawa
Your new company For our client fast-growing technology start-up, we are looking for an experienced Financial Controller. Your new roleAct as the primary finance partner of the general manager in setting up business strategy.Prepare financial reports, including budget/pre-budget and forecasts, and communicate financial results and analysis of variances to stakeholders.Ensure all reporting requirements are met on time and compliant with IFRS, and manage the relationships with an external accountancy team. Monitor and develop models and insights on the quantitative and qualitative performance of the business unit.Proactively seek improvements in financial processes, interlock with relevant teams to facilitate changes and improvements.Liaise with key functions and act as a partner for various stakeholders within the organisation.What you'll need to succeed University degree in Finance, Accounting, or a related field. Certification such as CFA, CPA, ACCA or CIMA would be a plus.Proven experience as a Financial Controller, Finance Manager, or a similar role in the IT industry. Experience in a start-up environment would be beneficial.Strong knowledge of financial reporting, budgeting, and forecasting. Familiarity with IFRS is required.Excellent quantitative and qualitative analytical skills. Experience with financial modelling would be an advantage. Ability to translate business strategy into financial plans. Excellent communication skills to effectively liaise with various stakeholders within the organisation and to communicate financial results and variances.Proven experience in improving financial processes and implementing best practices.Proficiency in financial software and advanced Excel skills. The ability to work collaboratively with diverse teams.Fluent English and Polish skills are required, What you'll get in return A competitive salary package proportional to your skills and experience.A dynamic and fast-paced start-up environment where every day offers new challenges and opportunities.A chance to make a significant impact on the company’s strategy and growth.Work with a team of dedicated professionals in a collaborative and supportive environment.A culture that values and recognises your contributions to the success of the companyWhat you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.Hays Poland sp. z o.o. is an employment agency registered in a registry kept by Marshal of the Mazowieckie Voivodeship under the number 361.
Financial Controller
HAYS, Warszawa, mazowieckie
Financial ControllerWarszawaNR REF.: 1184884Your new company For our client fast-growing technology start-up, we are looking for an experienced Financial Controller. Your new roleAct as the primary finance partner of the general manager in setting up business strategy.Prepare financial reports, including budget/pre-budget and forecasts, and communicate financial results and analysis of variances to stakeholders.Ensure all reporting requirements are met on time and compliant with IFRS, and manage the relationships with an external accountancy team. Monitor and develop models and insights on the quantitative and qualitative performance of the business unit.Proactively seek improvements in financial processes, interlock with relevant teams to facilitate changes and improvements.Liaise with key functions and act as a partner for various stakeholders within the organisation.What you39ll need to succeed University degree in Finance, Accounting, or a related field. Certification such as CFA, CPA, ACCA or CIMA would be a plus.Proven experience as a Financial Controller, Finance Manager, or a similar role in the IT industry. Experience in a start-up environment would be beneficial.Strong knowledge of financial reporting, budgeting, and forecasting. Familiarity with IFRS is required.Excellent quantitative and qualitative analytical skills. Experience with financial modelling would be an advantage. Ability to translate business strategy into financial plans. Excellent communication skills to effectively liaise with various stakeholders within the organisation and to communicate financial results and variances.Proven experience in improving financial processes and implementing best practices.Proficiency in financial software and advanced Excel skills. The ability to work collaboratively with diverse teams.Fluent English and Polish skills are required, What you39ll get in return A competitive salary package proportional to your skills and experience.A dynamic and fast-paced start-up environment where every day offers new challenges and opportunities.A chance to make a significant impact on the company’s strategy and growth.Work with a team of dedicated professionals in a collaborative and supportive environment.A culture that values and recognises your contributions to the success of the companyWhat you need to do now If you39re interested in this role, click 39apply now39 to forward an up-to-date copy of your CV, or call us now.Hays Poland sp. z o.o. is an employment agency registered in a registry kept by Marshal of the Mazowieckie Voivodeship under the number 361.
Senior Controller
Grafton Recruitment Sp. z o.o., Warszawa, mazowieckie
Your tasks:Active participation in quarterly and annual financial closings.Participation in financial planning and analysis.Cooperation in preparing consolidated financial statements.Cost analysis, support in the preparation of budget plans, cash flow preparation.Reporting obligation (to management, VAT, other statutory reports) and performing other ad-hoc tasks.Preparing payment tables for approval by management.Liasing with Tax advisors, Auditors. Legal advisors and Group Financial Controllers. Requirements:Relevant education and or qualifications+ 5 years of experience in a similar field.Good English - min. B2IFRS and accounting knowledge, incl. Polish Accounting ActConfident Excel knowledge.SAP knowledge will be a great assetBenefity:Private medical packageSports cardSocial fundYearly bonus W celu złożenia aplikacji prosimy o kliknięcie przycisku 'Aplikuj teraz' i postępowanie zgodnie z instrukcjami. W przypadku wcześniejszych spotkań w firmie Grafton, prosimy o bezpośredni kontakt z konsultantem prowadzącym. Podane stawki wynagrodzeń są stawkami brutto, na podstawie badania wynagrodzeń Grafton Recruitment. Ostateczna wartość wynagrodzenia zależy od stopnia dopasowania kompetencji Kandydata do wymogów opisanych w ofercie. Oferty pracy Grafton Recruitment nie są ofertami w rozumieniu Kodeksu Cywilnego (podst. Prawna art. 66 i 71 K.C.). Uprzejmie informujemy, że zapoznajemy się ze wszystkimi aplikacjami, a kontaktujemy się z wybranymi osobami. Gwarantujemy dyskrecję. Grafton Recruitment Sp. z o.o. jest Agencją Zatrudnienia nr 20329.Więcej podobnych ofert pracy na http://pl.grafton.com/pl/job-search
Financial Controller - Controlling team in Consulting
Deloitte, Warszawa
Who we are looking for minimum 3 years of experience in Controlling or Finance department, excellent financial and analytical skills great at multi-tasking and prioritizing summarize and articulate complex financial information for decision-making, strong computer literacy - Microsoft Excel on advanced level, VBA will be a strong asset, attention to details and high quality of outputs, ability to work in a rapidly changing and demanding environment, strong ‘can-do’ mentality and ‘drive’ to accomplish tasks in an environment with multiple stakeholders, proactive, can-do attitude, goal-oriented, strong communication and interpersonal skills, CIMA or ACCA certification in progress will be an asset Your future role As a Financial Controller in our team you will report to Controlling Director in Consulting Department and work closely with Managing Partner, creating an impact by providing high value adding analysis. You will be involved in the following areas: developing financial models and analyses to support strategic initiatives, analyzing current and past trends in key performance indicators with constant monitoring of KPIs, highlighting trends and analyzing causes of unexpected variance, planning and forecasting for business units, monthly actual vs. plan variance analysis by business unit, control of contracts/projects financial management, development of analytical and reporting tools, preparation of management reports, continuous process improvements, standarization and automation of outputs in a structured and consistent manner, initiatives support, liaising with the accounting team in Poland, on-going cooperation with Partners, Managers and HR team. What we offer the opportunity to quickly gain practical knowledge and skills, the chance to cooperate with experts and establish valuable professional relationships,work in a friendly and welcoming team, in an entrepreneurial culture - we believe that great results can be achieved only with great people, in supportive atmosphere, where everyone is a part of a team and gets full support from all teammates,competitive salary, including various benefits.successful and challenging place to work; Deloitte has access to amazing opportunities in CE Europe and worldwide,opportunity for trainings and certifications. #LI-DD1
Manufacturing Controller EMEA
Michael Page International (Poland) Sp. z o.o., Warszawa, Mazowieckie
Zakres obowiązków Drive "Optimal Product Cost Analysis" - Main areas to work on in 2024. New process to analyze internal and competitor data to assist in internal decision making. Assist in developing the company's long-range and annual plans Support the quarterly forecast process and quarterly business reviews Completes analysis operations specific aspects of the finance operating cycle (COS, OCOS, Inventory, DPO and CAPEX) and other manufacturing related cost vs plan and forecast to provide meaningful insight into the company's financial performance and make recommendations to MissionOps leaders. Plays a key role in supporting our FP&A transformation, which includes optimizing technologies and processes to deliver FP&A services most efficiently and effectively. Works with the global FP&A team to design and implement best practices to streamline the planning process and provide data-driven insights to business leaders. Develops and interprets complex financial models to provide executive management with the information needed to make strategic decisions. Prepares and delivers presentations to varied internal audiences including the executive team; effectively communicates financial concepts to non-financial audiences. Participates in strategic projects and initiatives, often cross-functional and across multiple geographies Emphasis on continuous improvement Wymagania Strong analytical abilities and strategic thinking skills Experience working in a manufacturing environment with thorough understanding of manufacturing related finance and accounting topics Intellectual curiosity and business acumen (not just reporting the numbers, but desire to understand them and assist in helping drive performance) Strong work ethic with a positive continuous improvement mindset Strong quantitative abilities, process oriented and attention to detail combined with ability to understand the bigger pictureOptional CPA or Master's degree in accounting, business, economics or finance Experience working for a publicly traded multinational manufacturing company Working knowledge of Oracle Enterprise Planning and Budgeting Cloud Services (EPBCS) and Oracle SmartView analysis tools and other modules in the Oracle EPM suite Familiar with a variety of data systems to create financial reports, dashboards, and analyze business trends including knowledge of SAP ERP, SAP Business Warehouse, and/or Microsoft PowerBI. Proven ability to build complex financial models Oferujemy base + benefits (hybrid working)
Financial Controller - new SSC!
Michael Page International (Poland) Sp. z o.o., Warszawa, Mazowieckie
Zakres obowiązków Implementing and managing the established financial policies, procedures, and practices to meet both short and long-term business needs. Ensures the accuracy and timeliness of general accounting, cost accounting, payroll, payables, and receivables. Oversees budgeting and forecasting activities. Ensures accurate and timely recording and reporting of operating results. Provides practical financial analysis, interprets budget variances, and offers advice to management. Manages charge-backs to internal customers and assists with SLA follow-up. Wymagania * A minimum of 6 years of professional experience as a Chief Accountant or Deputy Chief Accountant, ideally in a Shared Services environment* Bachelor Degree in Finance, Controlling or Accounting* Practical knowledge of Finance (especially statutory accounting, budgeting, forecasting)* Working knowledge of Polish accounting and tax regulations* Fluent in English and Polish (additional European languages will be an asset) Oferujemy Private medical care Flexible working time, including hybrid working model Life insurance Sharing the costs of foreign language classes Sharing the costs of sports card Extra leave Annual bonus
Senior Financial Controller
Michael Page International (Poland) Sp. z o.o., Warszawa, Mazowieckie
Zakres obowiązków Manage all aspects of financial planning, including budgeting, P&L management, and financial analysis to support strategic decision-making. Work closely with senior management to align financial strategies with long-term business objectives. Streamline financial processes and systems to improve efficiency and effectiveness across the organization. Manage FP&A, accounting and other functions, fostering a collaborative environment and ensuring professional growth and efficiency. Oversee financial and operational risk management processes to safeguard company assets and ensure financial stability. Ensure timely and accurate financial reporting, adhering to regulatory requirements and providing insights to stakeholders. Support the Investment Manager and maintain relations with investors, ensuring transparent communication regarding financial performance and business growth. Wymagania Minimum 5 years of experience within finance management, with a proven track record in financial planning, analysis and controlling. Bachelor's degree in Finance, Accounting, or related field; a Master's degree or professional certification (e.g., CFA, CPA) is preferred. Understanding of financial regulations and reporting requirements. Expertise in financial software and tools, and financial modeling applications. Experience in operational risk management is a plus, providing a broader perspective on business challenges and solutions. Must live and breathe modern technologies, smart cities, and have the willingness to improve our daily lives. Excellent communication, interpersonal, and leadership skills. Strong analytical and problem-solving skills. Ability to multitask and manage competing priorities. Optimism, fun and a positive vibe is a must. Oferujemy Rich benefits package Employment based on an employment contract or B2B contract Annual bonus Medical insurance
Financial Controller - new SSC!
Michael Page Poland, Warszawa
Opportunity to build a new SSC structure!Opportunity to advance your career in Finance!O naszym kliencieOur Client is an international company building a new SSC in Warsaw, Poland. This position is an exciting chance to build and develop this new SSC from the earliest stages. The company offers a flexible work model.Opis stanowiskaImplementing and managing the established financial policies, procedures, and practices to meet both short and long-term business needs.Ensures the accuracy and timeliness of general accounting, cost accounting, payroll, payables, and receivables.Oversees budgeting and forecasting activities.Ensures accurate and timely recording and reporting of operating results.Provides practical financial analysis, interprets budget variances, and offers advice to management.Manages charge-backs to internal customers and assists with SLA follow-up.Profil kandydata* A minimum of 6 years of professional experience as a Chief Accountant or Deputy Chief Accountant, ideally in a Shared Services environment* Bachelor Degree in Finance, Controlling or Accounting* Practical knowledge of Finance (especially statutory accounting, budgeting, forecasting)* Working knowledge of Polish accounting and tax regulations* Fluent in English and Polish (additional European languages will be an asset)OferujemyPrivate medical careFlexible working time, including hybrid working modelLife insuranceSharing the costs of foreign language classesSharing the costs of sports cardExtra leaveAnnual bonus
Manufacturing Controller EMEA
Michael Page Poland, Warszawa
International manufacturing companyBeing a business partner with key stakeholdersO naszym kliencieInternational manufacturing companyOpis stanowiskaDrive "Optimal Product Cost Analysis" - Main areas to work on in 2024. New process to analyze internal and competitor data to assist in internal decision making.Assist in developing the company's long-range and annual plansSupport the quarterly forecast process and quarterly business reviewsCompletes analysis operations specific aspects of the finance operating cycle (COS, OCOS, Inventory, DPO and CAPEX) and other manufacturing related cost vs plan and forecast to provide meaningful insight into the company's financial performance and make recommendations to MissionOps leaders.Plays a key role in supporting our FP&A transformation, which includes optimizing technologies and processes to deliver FP&A services most efficiently and effectively.Works with the global FP&A team to design and implement best practices to streamline the planning process and provide data-driven insights to business leaders.Develops and interprets complex financial models to provide executive management with the information needed to make strategic decisions.Prepares and delivers presentations to varied internal audiences including the executive team; effectively communicates financial concepts to non-financial audiences.Participates in strategic projects and initiatives, often cross-functional and across multiple geographiesEmphasis on continuous improvementProfil kandydataStrong analytical abilities and strategic thinking skillsExperience working in a manufacturing environment with thorough understanding of manufacturing related finance and accounting topicsIntellectual curiosity and business acumen (not just reporting the numbers, but desire to understand them and assist in helping drive performance)Strong work ethic with a positive continuous improvement mindsetStrong quantitative abilities, process oriented and attention to detail combined with ability to understand the bigger pictureOptionalCPA or Master's degree in accounting, business, economics or financeExperience working for a publicly traded multinational manufacturing companyWorking knowledge of Oracle Enterprise Planning and Budgeting Cloud Services (EPBCS) and Oracle SmartView analysis tools and other modules in the Oracle EPM suiteFamiliar with a variety of data systems to create financial reports, dashboards, and analyze business trends including knowledge of SAP ERP, SAP Business Warehouse, and/or Microsoft PowerBI.Proven ability to build complex financial modelsOferujemybase + benefits (hybrid working)
Senior Financial Controller
Goldman Recruitment, Warszawa, Mazowieckie
Opis stanowiska:wykształcenie wyższe z obszaru finansów, księgowości, ekonomii, kilkuletnie doświadczenie na podobnym stanowisku lub w audycie z firm tzw. "Wielkiej Czwórki", lub wewnętrznych działach sprawozdawczych,doświadczenie w przygotowywaniu sprawozdań finansowych zgodnie z polską ustawą o rachunkowości oraz MSSF,bardzo dobra organizacja pracy,sumienność, orientacja na cel i efekty pracy,biegła znajomość języka angielskiego – współpraca na poziomie grupy,biegła znajomość pakietu MS Office, w szczególności MS Excel,wysoko rozwinięte zdolności analityczne i interpersonalne,doświadczenie menadżerskie – będzie dodatkowym atutem.Wymagania:sporządzanie sprawozdań finansowych zgodnie z polską ustawą o rachunkowości oraz MSSF,odpowiedzialność za proces zamknięcia okresów sprawozdawczości,udział w opracowaniu rocznych budżetów Spółki, prognoz okresowych oraz przygotowanie szczegółowych, miesięcznych raportów wykonania P&L, BS, CF, KPIs wraz z analizą odchyleń i komentarzami,projektowanie i rozwój narzędzi raportowych i kontrolingowych spółki oraz optymalizacja procesów, w tym kluczowych wskaźników efektywności (KPI),monitorowanie i raportowanie wykonania finansowego projektów,aktywny udział w procesie zamknięcia miesiąca,współpraca z audytorami – sporządzanie raportów, zestawień oraz przygotowywanie odpowiedzi i wyjaśnień,raportowanie i bieżąca współpraca z CFO.Oferujemy:możliwość rozwoju w ramach międzynarodowej organizacji,atrakcyjne wynagrodzenie,niezbędne narzędzia pracy,bogaty pakiet benefitów,hybrydowy model pracy.