Financial Accountant

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Employer: ARRISE POWERING PRAGMATIC PLAY
Domain:
  • Accounting - Finance
  • Job type: full-time
    Job level: 1 - 5 years of experience
    Location:
  • BUCHAREST
  • Updated at: 05.05.2020
    Remote work: On-site
    Short company description

    Pragmatic Play supplies player-favourite games to the leading global brands in iGaming. Powering up new possibilities of play through a single API, we offer a multi-product portfolio of award-winning slots, live casino, bingo, virtual sports, and more, available in all major regulated markets.
    ​​​​​​​
    Driven by a persistence to craft immersive experiences, we consistently deliver games that players love.
    ARRISE is a software development and services company powering Pragmatic Play.

    Requirements

    ACCAACA can be a plus;
    English spoken and written;
    The proven ability to quickly assess problems and find effective solutions;
    Very competent in Microsoft Office, with a high level of proficiency in Excel;
    Ability to work on own initiative and demonstrate good organisational and time management skills;
    Strong analytical and problem resolution skills, including the ability to research and simplify complex situations;
    Excellent attention to detail, knows how to check their own work;
    Good interpersonal and relationship building skills, strong communicator both orally and in writing;
    Proactive, with a process improvement mindset, not afraid to question the status quo and suggest ways to improve output and efficiency;
    Results driven, able to work at fast pace and juggle multiple priorities whilst ensuring accuracy at all times.

    Responsibilities

    To work as part of the finance team in the preparation of monthly financial reports, management reporting information and external financial reports;
    Assist with the preparation of financial statements and supporting notes for external financial statements, including the annual audit for the group and annual statutory accounts for subsidiary companies, according to set deadlines;
    Responsibility for accounting and reporting for one or more group entities;
    Support preparation of monthly analysis of business performance for senior management;
    Assisting with the monthly balance sheet reconciliation process, including owning the inter-company reconciliation process;
    Responsible for reviewing the reasonableness of accruals for each company (accrued revenue and expenses are supported by reports forecast);
    Ensure that all inter-company transactions are recorded on an accurate and timely basis;
    Ensure that the bank accounts are completely reconciled with proper explanation for each reconciling items;
    Liaise with local agents to monitor the compliance status of statutory reporting requirements for all jurisdictions of the group, including vat and tax;
    Liaise with local agents in preparing the quarterly VAT returnsEC Sales List (compilation of invoices);
    Assist with ad-hoc projects as required;
    Assuring that all records, transactions, reports and documentation are compliant with IFRS and internal policies;
    Analyze the transactions recorded by Junior accountants to ensure they are registered appropriately under all aspects on a monthly basis;
    Perform Treasury activities (including payment approval).

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