Работал в 4 компаниях   13 лет 5 месяцев

Энергетика и Энергоносители, Торговля оптовая / Дистрибуция / Импорт-экспорт, Консалтинг / Аудит, Финансовые услуги

Financial Controller

“Instalaciones Inabensa, S. A.”

Энергетика и Энергоносители

10 лет

06.2014 - по настоящее время

- Implementing control over financial flows of the large construction project (energetic sector);- Interaction with internal and external auditors (BIG-4), tax authorities, subcontractors, banking institutions, etc.;- Management accounting and local tax reporting control and optimization;- Risk management, consulting HQ on the existing tax risks and methods of its mitigation;- Implementing B2B payment procedure, responsible for precise and thorough cash-flow forecasts based on the construction progress reports;- Managing corporate reporting procedure (IFRS);- Approving and administrating HR & payroll issues, all respective tax returns;- Responsible for controlling function - regular reports to HQ, containing detailed revision of the production costs structure, revenue structure and AP collection terms, explicit AP/AC breakdowns with allocations by CC, etc.;- Maintaining other financial issues that are related to the project in any fashion.

Financial controller

Wienerberger Ukraine

Торговля оптовая / Дистрибуция / Импорт-экспорт

1 год 3 месяца

02.2013 - 05.2014

- Monthly reporting to the parent company according to IFRS; - Quarterly reporting (incl. balance sheet, P&L, sales reporting, table of investments); - Preparation of annual budget, further control over its implementation, analysis of deviations, factor analysis. Preparation of rolling comprehensive forecasts based on variance analysis on a quarterly basis; - Leading and coordinating accounting department; - Chief financial spokesman of the company (Director Finance position is not stipulated); - Preparation of various analytical reports for internal users (sales reports, cost control report, distributor’s bonuses report, discount control report); - Weekly preparation of cash flow forecasts; - Determining financial objectives. Designing and implementing systems, policies & procedures in order to facilitate internal financial control; - Responsible for intercompany pricing formation, intercompany settlements; - Developing reports for top management summarizing the business financial position in areas of income, expenses, capital usage and cash flows, coordinating preparation of strategic plans, budgets and financial forecasts; - Analyzing exchange rate fluctuations, developing respective currency risks mitigation strategies; - Assessment and valuation of new trade financing instruments, experience in implementation of factoring operations; - Providing financial, commercial and strategic support to the business; - Optimization and automatization of reporting processes; - ABC analysis of key customers, suppliers, products sold by the company; - Management of risks related to company's operating activity, managing tax risks; - Daily price and margin calculations for products sold in different regions; - Control over marketing actions, monitoring influence on financial results and providing internal management with operational data for decision-making; - Responsible for handling trade claims; - Ensure the proper and continuous flow of day-to-day activities including month-end close, journal entries, account reconciliations; - Work with bank institutions, placing bank deposits and controlling company's finance activity; - Regular market research for internal and external needs; - Monthly presentation of financial results of the company to internal CEMEA manager.

Chief Accountant

TMF Ukraine

Консалтинг / Аудит

1 год 2 месяца

12.2011 - 02.2013

- Handling the complete accounting cycle, substantially, for branch businesses of foreign companies in Ukraine working in fully international environment. Corporate culture really close to Big-4 standards;- Opening and closing of accounts, posting entries, preparation of various accounting reports according to local and international standards;- Monthly management reporting to mother companies (US GAAP, IFRS);- Budgeting, financial planning, risk management;- Start-up and liquidation procedures for enterprises;- Supervising and coordinating 4-person project team;- Experience in foreign-economic activity operations management;- Interaction with internal auditors and tax authorities during the internal audits and external tax inspections;- Handling accounts payable and accounts receivable;- Preparing sales invoices, collecting and handling all primary documentation;- Taking care of telephone inquiries and managing all written correspondence both with domestic and foreign clients;- Statutory tax and financial reporting according to local legislation.

Financial analyst

UFC Capital

Финансовые услуги

9 месяцев

02.2011 - 11.2011

- Drafting investment memorandums on purchase\sale of business for potential investors;- Market research and consulting parties concerned;- Regular work with MS Office programs (Publisher, Excel, Word, PowerPoint);- Gathering and analysis of economic-commercial information on companies’ activities;- Written and oral negotiations with foreign clients;- Drafting contracts for collaboration with foreign clients;- Experience in research of ATL and BTL advertising markets, pharmaceutical market and agrarian sector of Ukraine (deal on privatization of major Ukrainian agricultural producer).

Иван

Finance Director

Киев

35 лет

полная занятость

Обновлено 4 недели назад