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Računovođa

U ime našeg klijenta, vodeće kompanije u oblasti prodaje i servisiranja komercijalnih vozila, Manpower Srbija poziva motivisane kandidate da uspešno odgovore zahtevima pozicije: Računovođa 

Opis posla:

Dnevno preuzimanje izvoda iz poslovnih banaka i sastavljanje izveštaja o stanju na računima, sa detaljnim informacijama o pojedinačnim promenama na računu.
Praćenje i evidencija dnevnog kursa Eura kod Narodne banke Srbije i poslovnih banaka.
Evidentiranje obaveza za plaćanje, otkup sredstava i plaćanja prema inostranstvu, te vođenje salda dobavljača.
Izrada zahteva za finansijsko odobrenje reklamacija.
Sastavljanje dnevnih lista dospelih obaveza za plaćanje.
Popunjavanje naloga za plaćanje i realizacija plaćanja.
Izrada kompenzacija i asignacija.
Izrada periodičnih kontrolnih kalkulacija potrošnje goriva, telefona, plaćanja špediteru itd.
Vođenje knjige ulaznih i izlaznih faktura.
Obaveštavanje dužnika o dospelosti obaveze plaćanja duga.

Zahtevi pozicije:

Minimum 3 godine radnog iskustva na sličnim ili istim pozicijama
VI stepen stručne spreme
Sposobnost analitičkog razmišljanja i preciznosti u radu
Napredno poznavanje MS Office paketa, posebno Excela.

Tax and Cost Accountant

On behalf of our client, China Construction Front Group, engineering corporation, we are looking for motivated candidate to fulfill the position of Tax and Cost Accountant
Job description: 

Maintaining the SEF invoicing system and complete invoice issuance in a timely and efficient manner after confirmation of monthly IPC documents
Verifying IOS accounting information, statements and other document of each construction projects in relation to the clients, subcontractors and suppliers
Review, classification, sorting, registration, archiving and monthly summary of invoices and other accounting bills
Communication with banks, accounting firms, law firms, tax authorities, statistics authorities and other institutions on a regular basis for management consultation and communication on accounting and tax matters, and performance of accounting and tax related procedure
Check and Review of local fiscal and tax laws and regulations through tax authorities, accounting firms, etc., and translation of key information into English for internal reference within our company
Communications and cooperation with the accounting firms for completion of monthly VAT declaration 
Sorting out the procedures, steps and timeline of the tax authorities’ VAT refund work, and communicate with the accounting firm or directly communicate with the tax authorities to carry out full-cycle procedures of VAT refunds
Other accounting related works, such as: sorting up of accounting documents, binding of printed accounting documents, etc.

Job requirements:

Bachelor’s degree or above in accounting, statistics, finance, auditing and other related majors
Familiar with local fiscal and tax laws and regulations, common practice and procedures of fiscal and tax work
High degree of professionalism and work responsibility
High ethics in work execution, skilled in communication and coordination
Proficient in operating accounting and office softwares
Able to withstand a certain amount of work pressure and able to travel occasionally
More than 2 years of relevant work experience
Proficient in English
Applicants with local accounting and tax certificates will be given priority

Treasury Director

On behalf of our client, company in the real estate industry, Manpower Serbia is searching for motivated candidates to take the challenge and successfully fulfill the position of Treasury Director.

The Treasury Director executes the development and implementation of treasury functions. Allocates cash balances, maintains investment records, and prepares expense and earnings forecasts. Ensures policies and procedures meet the organization's objectives, needs, and regulatory body requirements. Focuses on the company's liquidity and cash flow as well as managing cash risks.

Job Description:

Execute the development and implementation of treasury functions and develop and monitor treasury operational policies
Develop a reporting package on the company’s liquidity and key cash management operating metrics and prepare a cash forecast
Prepare and present to senior management weekly company-wide cash flow report
Develop, implement, and maintain bank account structures and administration
Manage all relationships with Banks supporting the company’s cash management operations
Implement hedging programs for interest-rate exposures
Manage all cash management functions including cash concentration, wires, and account funding
Ensure adequate liquidity for working capital needs and invest short-term excess cash; manage inter-company cash including inter-company lending 
Responsible for liquidity management of all entities
Implement new bank technologies, products, and services to improve the cash cycle and simplify company operations
Manage treasury administration by developing objectives and development plans in line with company strategy
Controlling procedures related to document flow and controlling accuracy and alignment of data
Lead and enhance internal processes to drive operational efficiency and ensure compliance with internal policies, controls, and procedures
She/He is responsible for her/his work to the CFO

Job requirements:

Minimum Bachelor’s degree in  Finance and Economy business, computer science, information systems, or related field  
Minimum 5 years relevant working experience, on same or similar positions
Strong business acumen, fluency in English and Serbian are prerequisites
Previous cooperation with Banks would be highly desirable

Investment Manager

Adval Capital is a family office-backed Private Equity Fund, with the mandate to provide unique support to a selected number of SEE SMEs with strong growth potential. Their team brings together extensive local and international operating experience and a deep understanding of business operations and development.

On behalf of our client, Manpower Serbia is looking for a motivated candidate to fulfill the position of Investment Manager.

 

About the offer:

An opportunity to build a career in the private equity industry
A continuous personal and professional development program
Fast professional and technical growth 
A dynamic, technically advanced, and attractive working environment
Competitive compensation package in addition to variable-based compensation correlated to investment outcomes
Option to co-invest in Adval Capital’s investments 

Job description:

Supporting further development and execution of Adval Capital’s investment strategy
Quickly developing an understanding of the target business and its key drivers
Executing tasks encompassing market screening, building complex financial models, analysis, and valuation
Building and maintaining relationships with consultants, investment bankers, and other intermediaries to assess investment opportunities.
Analyzing historical trends and quality of earnings, cash flow, working capital, net debt, capital expenditures, forecasts, and underlying assumptions
Succinctly presenting findings and observations to senior management, both verbally and in written form 
Challenging the Investment Team on the rationale for prospective investments
Leading negotiations with the potential targets
Actively managing transaction execution including the financial, tax, commercial, and legal due diligence streams
Monitoring portfolio companies including executing post-acquisition activities
Cooperating with portfolio company management to enhance targets’ value creation through active involvement in target’s supervisory board 
Directly responsible to the Chief Investment Officer
Managing Investment Associate(s) and contributing to subordinates’ professional improvement

Position Requirements:

Bachelor’s and/or Master’s degree in accounting, finance, economics, or business (MBA, CFA, or similar designation is a plus)
Corporate / Investment Banking or Private Equity experience at the minimum of 7 years, ideally with SMEs
Experience in origination, evaluation, structuring, execution, and monitoring of corporate / Investment Banking or Private equity deals
Exceptional communicational, interpersonal, and project management skills, with the ability to build and maintain relationships with stakeholders at all levels.
Exceptional analytical, and problem-solving skills, combined with a good understanding of business dynamics and commercial value drivers
Self-motivation and the ability to operate within a team environment
High proficiency in both verbal and written English is essential



Pregled posla

Kapcsolat

Csapatunk örömmel áll rendelkezésére. 

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