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Вакансии и образование
Ведомости. Вакансии. Финансы/бухгалтерия
Свежие объявления работодателей и рекрутеров на сайте газеты Ведомости.

  • Finance Manager
    Watson Wyatt is the trusted business partner to the world's leading organisations, on people and fin Watson Wyatt is looking to establish a new subsidiary in Russia to operate from offices in Moscow. We are searching for a Finance Manager to be based in Moscow, Russia to help set up the company and establish the rigorous accounting, finance and administrative systems that we require in each of our operating subsidiaries. The successful candidate would also be required to ensure that these systems and processes are compliant with local regulations and practice. Having achieved this we would expect that the Finance Manager would assist the subsidiary's General Director in developing the office and growing our Russian business. The Finance Manager, Russia, would be part of the European Finance Team that is headquartered in Reigate in the UK. During the establishment of the Moscow office, the candidate would be expected to spend a portion of his/her time in the UK for training and work purposes. The Finance team is itself part of the Business services group who provide overall support for Legal, IT, HR, Marketing, Facilities, Tax, and Treasury issues. Day to day management and implementation of the Business Services policies rests with the Finance Manager. External advisers will be available where appropriate to assist on detailed technical issues, e.g., corporate, sales and payroll taxes; visas. Requirements: Fluent Russian and English, Awareness of US GAAP, Strong knowledge of Russian accounting practice and regulatory requirements, Detailed knowledge of Russian tax compliance and audit processes (corporation taxes, sales taxes, withholding taxes and payroll taxes), Qualified accountant.
  • Head of Tax
    HSBC Bank (RR) Main Responsibilities: Head of Tax is responsible for communication with the Bank of Russia and tax authorities. Head of Tax shall be aware of all the requirements of the Legislation of the Russian Federation in finance and prudential standards as amended and be able to adjust incongruity between the requirements of the Group and the Legislation of the Russian Federation. • Development of internal procedures for Tax, including introduction and feed back meetings with heads of businesses and support departments; • Calculations of tax base of corporate tax, supervising and preparation of tax return and submission it to Tax Inspectorate; • Ensures timely and correct other tax reporting as required by Tax regulations and laws (VAT, property tax, etc); • Reconciliation of tax payments payable and receivable with Tax Inspectorate; • Ensure the proper taxation impact of the bank's activities and advises Head of Finance and management on the tax compliance of the banking operations and instruments; • Provides tax planning and deferred tax calculation; • Achieve most efficient and early knowledge of last changes/ updates in Tax legislation and business practice of tax’s interpretation and implementation. Experience and skills: KNOWLEDGE Finance - economical education, perfect knowledge of local Banking taxation. EXPERIENCE 3-5 years in working in a high level tax position.
  • Финансовый контролер
    Крупная российская компания Финансовый контролер в крупную российскую компанию. Ключевые функции: - Долгосрочное финансовое планирование - Ежегодное бюджетирование и ежеквартальная актуализация бюджетов - Финансовый анализ, подготовка ежемесячной аналитики и отчетности для Финансового директора - Развитие функции финансового планирования и анализа - Специальные проекты Обязанности: - Долгосрочное планирование - Совместно с Финансовым и другими директорами компании - установление и количественное определение ключевых финансовых показателей в соответствии с выработанной стратегией развития - Подведение финансово-математической базы под долгосрочные планы подразделений - Риск-анализ, расчет <what-if> сценариев Бюджетное планирование - Управление процессом сбора корректных бюджетных заявок, качественный и количественный анализ их обоснованности - Составление ежегодных бюджетов, защита бюджетов перед финансовым директором, подготовка сопроводительных материалов - Ежеквартальное обновление бюджетов, анализ отклонений Усовершенствование систем планирования и взаимодействия с другими подразделениями: - Усовершенствование внутренней IT-системы в целях оптимизации качества обработки бюджетной информации - Пересмотр и усовершенствование процедуры подготовки бюджетов, бюджетной классификации - Усовершенствование кооперации с подразделениями Корпоративного центра и региональными компаниями Финансовый анализ: - Финансовый анализ (запуск новых инициатив) - Инвестиционный анализ (CAPEX) - Операционный анализ (эффективность текущих затрат/кэш-фло) - Ценовой анализ (тарифы, скидки) Профессиональные/образовательные требования к кандидату: - Высшее образование – финансовое или экономическое. Дополнительное образование, а также профессиональные сертификаты будут являться существенным преимуществом - Не менее 5 лет опыта работы в финансовой службе крупной компании, холдинге - Знание и практический опыт в вопросах финансового планирования и анализа. Опыт построения процессов планирования и анализа с нуля - Знание приложений MS-Office на продвинутом уровне - Разговорный английский обязателен - Опыт в ритейле - очень приветствуется
  • Business Unit Financial Controller
    A leading global engineering organization -Enforcement of Group Accounting and Reporting Guidelines -Enforcement of country and business unit specific finance directives and instructions -Performance analyst, review and proposal for actions to the management team -Controlling, asset management, finance , liquidity planning and tax -Corporate governance, compliance, assurance, SOX -Risk management, risk review process for project and project follow-up -Continuous cost reduction and improvements in costs-efficiency -Follow-up and implementation of agreed measures - both operational and strategic -Optimization of resources in co-operation with shared service center -Filling / reporting as per local requirements -Leadership, development and successor planning of the finance and controlling resources in the business unit -Long term business planning in line with business unit strategy implementation and follow-up -Working knowledge for country specialist commercial issues. -Manage the preparation of short terms financial outlooks and financial forecast. -Direct financial audits and provide recommendations for procedural improvements. -Manage a team of 5 people Requirements: -University degree in finance or accountancy -At least 5 years relevant experience in business controlling -Strong financial and accounting background, proven financial and business reporting skills -Able to work in teams, a strong, mature, independent and analytical individual -Deep knowledge of finance and control processes and tools, relevant GAAP -Good understanding of international business, products, business processes and structure -Fluent English is a must (direct reporting to expat)
  • Chief Accountant
    Наш клиент, одна из крупнейших розничн