Hot GL Manager with German language

Required languages



CZK 85,000 - 95,000







Type of job


  • Bonuses
  • Flexible working time
  • Contributions to travel costs
  • Courses and training
  • Contributions to sport, culture or past time activities
  • Contributions to education
  • Sick days
  • Home office
  • Company events and teambuilding
  • Corporate or personal coach
Main purpose of this role:

As General Ledger Manager, the key purpose of this role is to support the ongoing transition of the FSSC in Germany (Schongau) to our in 2018 newly established Shared Service Center in Prague. After the transition phase, you will focus on the Team lead/Manager function and further stabilize the monthly SSC-operations with the established General Ledger German-speaking team, you will become the "face" to our German entities and auditors linked to the General Ledger. After the Hyper-Care phase, you will further improve service delivery, automation projects and support the implementation of the new SAP-System S4Hana (together with the GPE's - Global Process Experts, IT and the respective German entities).

Role description:

• Oversees the financial and accounting function for Germany in the areas of accounting, tax, treasury and audit

• Accountable for ensuring that policies and procedures (internal controls) are in place to provide reasonable assurance that the company assets are protected

• Ensures that company financial records, under responsibility, are maintained in compliance with company policies and IFRS. Responsible for reviewing monthly/quarterly account reconciliations and other documents to ensure this compliance.

• Ensures that company financial reports are prepared in compliance with the Group Accounting Manual which follows IFRS and within the timeframe defined by the Corporate Accounting

• Lead and direct the General Ledger team members to consistently meet deadlines and oversee with month end close, hard close and year end close

• Supervises the completion of tax reporting requirements (including income, property, sales and use, and other local taxes), insurance reports and other reports required by government regulation

• Coordinates work related to both internal and external audits in the periodic review of the company financial records. Is further responsible for the implementation of agreed upon recommendations, related to areas of responsibility, resulting from the audit findings.

What should you have?:

• Significant experience in additional Finance or Accounting experience in a variety of areas, including audit and tax to provide the broad based knowledge necessary

• 5 years experience in managing diverse teams of financial staff is essential; SSC-experience from an international company is a plus!

• Advanced knowledge of German language

• Knowledge of SAP

We offer:

• We support talented, energetic and motivated individuals in their professional growth

• High standards of work

• Nice environment to work in, being a part of a small team of 6 people

• Stable international company

• A sophisticated system of training and further development

• A real opportunity for career growth

• Daily use of languages

• Annual bonus

• Contribution to language courses and other training upon your choice

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