Coordinate information for audit and external reporting purposes
Organize, harmonize, manage, and supervise work processes based on the principles of corporate values and operational principles
Organize and document the processes supported by the Financial Activities Center according to the agreed activity plan
Coordinate the work of Accounting with other organizational units in the Group
Prepare the balance of payments, profit and loss account, and other financial reports
Ensure compliance with Croatian law, international financial reporting standards, and the Company's accounting policy
Propose processes and projects to improve the work of the organizational unit
Prepare and maintain tax records, returns, reports, and other related materials
Participate in the development and implementation of tax strategy
Perform treasury operations involving cash funds, foreign exchange, debt, and capital management
Provide analytical and technical support to treasury-related activities
Your experience and qualifications
University education in accounting or finance
Minimum 5 years of experience in accounting or related fields (e.g. tax, treasury)
Experience with SAP is a plus
Fluent in spoken and written English
Strong teamwork, decision-making, and analytical skills
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