The Accounting Manager is responsible for overseeing all accounting operations, including preparing financial reports, conducting audits, and ensuring compliance with regulatory requirements. This senior-level role involves managing day-to-day financial activities, providing strategic insights to support business objectives, and ensuring the integrity of financial processes. The Accounting Manager will also supervise a team of two accountants, liaise with external auditors and tax authorities, and report to the EMEA Accounting Manager based in the Netherlands.
General Responsibilities
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Meets accounting operational standards by contributing financial information to strategic plans and reviews; implementing production, productivity, quality and customer-service standards; resolving problems; identifying system improvements.
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Establish and enforce appropriate accounting methods, meeting corporate policies and principles.
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Monitor and analyse financial statements to ensure accuracy and compliance with generally accepted accounting practices.
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Maintains cash flow by monitoring bank balances and cash requirements and investing excess funds.
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Approves cash disbursements by verifying check amounts against invoices, authorising checks and wire transfers.
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Approves ledger entries by auditing transactions.
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Maintains financial security by adhering to internal controls.
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Recruits, trains, schedules, coaches and manages a team to ensure priorities and deliverables are met.
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Liaising with other finance functions in EMEA and Corporate Finance (US).
Experience / Qualifications
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A university degree is required (i.e. Bachelors degree in Business Accounting) or equivalent relevant work experience.
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Chartered Accountant (CA), Certified Public Accountant (CPA), or equivalent certification/membership.
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Ability to lead, coach, and develop team members.
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Holds self and others accountable for achieving goals and standards.
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Ability to work in a fast-paced environment to handle multiple competing tasks and demands.
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Strong communication skills; oral, written and presentation.
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Strong organisation, planning and time management skills to achieve results.
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Strong personal and professional ethical values and integrity.
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Proficient in Microsoft Office programs (Outlook, Word, PowerPoint, and Excel).
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Strong interpersonal & collaboration skills to work effectively with all levels of the organisation including suppliers and external customers.
Responsibilities
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Managing the day-to-day financial activities
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Providing strategic insight to support business objectives.
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Responsible for the full Balance Sheet, and reconciling this on a monthly basis.
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Uploading data from the local finance system to global finance systems.
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Reporting major movements in Balance Sheet and P&L on a quarterly basis to EMEA finance management.
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Financial systems experience such as Great Plains and/or Oracle would be beneficial.
Benefits
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Competitive salary and performance-based incentives.
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Comprehensive health and wellness benefits.
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Professional development support, including training and certifications.
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Opportunities for career advancement within a growing global company.
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