Finance Manager

Posted Aug 28

This is a fully remote position, open to applicants in Netherlands.

📋 Description

• Oversee the accounting operations for business entities based in the Netherlands.

• Integrate accounting functions for newly acquired entities.

• Manage daily accounting tasks, including general ledger, accounts payable, and accounts receivable.

• Ensure adherence to local accounting regulations and consolidated reporting compliant with US GAAP.

• Supervise monthly, quarterly, and annual closing activities, including the preparation of financial statements and variance analysis.

• Work collaboratively with subsidiary teams to guarantee timely and precise financial reporting.

• Oversee the processes related to monthly invoicing and billing.

• Conduct special projects and analyses as assigned by the CFO International.

• Assist during audits by preparing necessary documentation and addressing auditor inquiries.

• Monitor overall company cash balances to ensure sufficient liquidity.

• Collaborate with the Treasury team on cash flow forecasting and management.

• Support business planning, annual budgeting, and periodic forecasting for the Netherlands region.

• Provide financial insights to aid strategic and commercial decision-making.

• Assess and improve internal financial controls.

• Develop, document, and implement standard operating procedures within the accounting department.

• Manage finance integration in support of a centralized shared service center.

• Assist with corporate tax compliance, statutory reporting, transfer pricing, and international tax obligations.

• Lead and mentor the accounting team.

• Offer guidance on accounting standards and tax compliance matters.

• Supervise team members, set objectives, conduct training sessions, evaluate performance, and assist with recruitment and hiring.


⛳️ Requirements

• Bachelor’s degree in Accounting, Finance, or a related discipline.

• Professional financial certification, such as Chartered Accountant.

• More than 7 years of progressive experience in corporate accounting.

• At least 2 years of experience in a leadership role.

• Demonstrated ability to establish standardized accounting policies, internal controls, and financial procedures.

• Extensive experience in cash flow forecasting and monitoring cash balances.

• Proficiency in Great Plains (Microsoft Dynamics GP), CargoWise, and other ERP systems.

• Strong understanding of US GAAP, IFRS, and international accounting standards.

• Experience collaborating with private equity firms and comprehension of their reporting requirements and processes.

• Familiarity with external auditors, tax advisors, and regulatory compliance.

• Intermediate proficiency with Microsoft Office applications.

• Knowledge of the transportation and logistics sector is advantageous.


🏝️ Benefits

• Competitive salary package.

• Opportunities for professional development and growth.

• Comprehensive health and wellness benefits.

• Flexible working arrangements.

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