Wir suchen ab sofort einen engagierten (Junior) Manager Finance & Treasury, der mit Zahlenstärke, analytischem Denken und einem hohen Maß an Verantwortungsbewusstsein die operative Liquiditätssteuerung unterstützt, aussagekräftige Reports erstellt und als verlässlicher Ansprechpartner für Banken, interne Stakeholder und treasury-relevante Fragestellungen agiert. Werde Teil unseres Teams und leiste Deinen persönlichen Beitrag, Millionen von Menschen ein besseres Leben zu schenken.
Monitor tax legislation and other key developments in order to analyze the impact to the company. Creating the Transfer Pricing Reports. Interact with the business units in order to be aware of business developments/transactions, to proactively advice on tax treatments and positions to avoid risks or identify them.
Industrie-, Büro-, Groß- und Außenhandelskaufmann/-frau, Steuerfachangestellte/r oder vergleichbar) Mehrjährige Berufserfahrung in einer kaufmännischen Allround- oder Office-Management-Position Sichere Excel-Kenntnisse zur Erstellung von Auswertungen, Übersichten und Controlling-Reports Sehr gute Kenntnisse in der vorbereitenden Finanzbuchhaltung mit DATEV Sehr gute Deutsch- und Englischkenntnisse, Italienisch wünschenswert Das Gesamtpaket überzeugt dich?
Etablierung von KPI’s und Weiterentwicklung bestehender Instrumente Etablierung, Monitoring und Weiterentwicklung von KPIs, Dashboards und Reports zur Steuerung der Working-Capital-Performance in enger Zusammenarbeit mit Group Controlling. Leitung und Weiterentwicklung bestehender Instrumente und Prozesse (z.B.
Gemeinsam mit dem Marketing setzt Du gezielte Kampagnen für die Fluidtechnik-Sortimente um. Relevante KPIs und Kundenvorgänge reportest du regelmäßig an den Leiter Ludwig Meister Consulting. Das solltest Du mitbringen: Eine erfolgreich abgeschlossene kaufmännische oder technische Ausbildung bildet die Grundlage.
Gegenmaßnahmen Aufbau und Weiterentwicklung eines transparenten Controllings und Berichtswesens inkl. KPI-Analysen und Reports für Geschäftsführung, Beirat und Management Steuerung des Vertragsmanagements sowie Zusammenarbeit mit externen Finanz- und Prüfpartnern Sicherstellung der Einhaltung gesetzlicher, steuerlicher und interner Compliance-Vorgaben sowie aktive Mitwirkung bei Auditierungen Initiierung von Verbesserungen in kaufmännischen Prozessen, insbesondere Digitalisierung, Automatisierung und Effizienzsteigerung in der Verwaltung Erfolgreich abgeschlossenes betriebswirtschaftliches oder wirtschaftswissenschaftliches Studium oder vergleichbare Qualifikation Mindestens drei Jahre Berufs- und Führungserfahrung in vergleichbarer Funktion, idealerweise in einem technisch orientierten, mittelständischen Unternehmen Fundierte Kenntnisse in Finanzen, Rechnungswesen, Controlling, Steuern und Jahresabschluss sowie hohe Zahlen- und IT-Affinität Sicherer praktischer Umgang mit ERP-, Finanzbuchhaltungs- und Reporting-/Controlling-Systemen sowie sehr gute MS-Office-Kenntnisse.
Analyze variances between actuals, budget and forecast to provide actionable insights to management KPI Development and Monitoring: Establish, track, and report on key performance indicators (KPIs) to support business objectives and enhance operational visibility Financial Ledger Integrity: Maintain, reconcile and oversee financial ledgers, ensuring accuracy and compliance with relevant accounting standards, as well as coordination of annual audit processes with external auditors Inventory Management: Oversee inventory valuation and controls, assessing obsolescence and excess stock to optimize working capital efficiency Ad-Hoc Reporting: Prepare financial analyses and reports to support business initiatives, performance assessments, and annual planning Intercompany Reconciliations: Ensure accurate and transparent reconciliation of intercompany transactions and balances Cash Flow Management: Monitor and manage liquidity, supporting the financial stability of the business Statutory Compliance: Oversee statutory returns and ensure full compliance with tax, VAT, and regulatory reporting requirements Statutory Accounts and Audits: Lead the preparation and timely submission of statutory financial statements and relevant audit processes Team Leadership: Manage and mentor the finance team, fostering a collaborative environment and working closely with senior management to support business growth and long-term strategy Profound experience in finance, acting as an independent Finance Business Partner Manufacturing industry experience is required, with strong knowledge of industry-specific financial controls and reporting standards Very good understanding of statutory accounting requirements, including year-end closings and VAT submissions Expertise in manufacturing controlling, incl. inventory valuation, and forecasting of revenue and EBITDA Proactive mindset, hands-on and result-oriented approach with a positive and enthusiastic attitude Fluency in German and English Dynamic and innovative market environment Interesting tasks in a multinational environment A highly motivated team and an open way of communication Ihr Kontakt Ansprechpartner Alexander Benjamin Alfred Kolb Referenznummer 861153/1 Kontakt aufnehmen E-Mail: alexander.kolb@hays.ch Anstellungsart Festanstellung durch unseren Kunden
Process credit notes, debit notes, and adjustments. Monitor aging reports and follow up on overdue accounts. Conduct regular collection calls and send reminder statements. Negotiate payment plans where necessary.
In this role, you’ll take on real responsibility – including your direct reports - overseeing financial operations across several entities, ensuring full transparency in all figures, and acting as a sparring partner to the Director Finance.
Reviewing findings provided by team members and providing feedback accordingly in order to prepare timely quality audit reports with findings that highlight risks and value added recommendations for the regional IT Audit Manager and/or Senior Expert review.
Key Responsibilities Develop and maintain detailed project budgets, cost estimates, and financial forecasts for data center construction and infrastructure projects, tracking expenditures against approved budgetsPrepare comprehensive cost reports, cash flow projections, and value engineering analyses to optimize project costs while maintaining quality standards and technical requirementsCoordinate with project managers, contractors, and procurement teams to evaluate contract proposals, change orders, and variation requests while ensuring cost-effective project deliveryConduct risk assessments for cost implications, develop contingency strategies, and monitor market conditions affecting material and labor costs in data center constructionReview and validate contractor invoices, progress payments, and final accounts while maintaining detailed cost documentation and audit trails for financial complianceSupport procurement processes, tender evaluations, and contract negotiations to achieve optimal value while facilitating cost reconciliation, lessons learned, and knowledge transfer for future project Qualifications & Skills Bachelor's degree in Quantity Surveying, Construction Management, Engineering, or related field with several years of experience in cost management for data center or mission-critical facility projectsComprehensive knowledge of data center construction costs, industry pricing trends, and ability to interpret technical specifications for accurate cost estimation and budget developmentStrong financial analysis expertise with proficiency in cost management software, spreadsheet applications, and demonstrated ability to prepare detailed cost reports and forecastsExcellent analytical, communication, and stakeholder management skills with proven ability to negotiate with contractors and suppliers while managing cost-related project risksExperience with value engineering, life-cycle costing, and cost optimization techniques in complex construction environments with understanding of procurement processes and contract administration Jones Lang LaSalle SE Human Resources Ihr Ansprechpartner: Jan Bauermann Talent Acquisition Partner EMEA jan.bauermann@jll.com Location: On-site –Frankfurt am Main, DEU If this job description resonates with you, we encourage you to apply even if you don’t meet all of the requirements.
As part of our team, you will take on the following responsibilities: You are responsible for executing payroll and time management processes.You serve as the main point of contact for employees on all payroll-related questions, taking into account tax, social security, and employment law requirements.You prepare reports and statistics for HR management, leaders, and the works council.ou maintain and update all payroll‑relevant data and handle reporting and certification tasks.You support monthly and annual closing activities as well as the implementation and further development of payroll-related IT systems.You contribute to HR projects related to payroll management.