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Smithstown Polska Sp. z o.o.

Senior Accountant

Smithstown Polska Sp. z o.o. Alle Angebote ansehen
Rzeszów
vor 1 Monat

Kurzfassung

Senior Accountant needed in Rzeszów for financial strategy, reporting, and operations. Requires fluent Polish/English, US GAAP/IFRS knowledge, and manufacturing finance experience. Key duties include financial reporting, cost management, FP&A, and PE reporting.

Von KI erstellte Kurzfassung des Anzeigentextes.

The Senior Accountant will support the plant Managing Director and Chief Accountant in overseeing the financial strategy, reporting and operations of the organization. This role requires the following knowledge and expertise:

  • Fluent Polish and professional working proficiency in English.
  • Solid understanding of manufacturing finance and cost structures.
  • Onsite with travel potentially required once or twice a year
  • Proven experience preparing or reviewing financial reporting under US GAAP and/or IFRS.

The following experience would be an advantage:

  • Experience working in Private Equity-backed environments,
  • Experience supporting acquisitions, integrations, or M& A activity.

The position plays an important role in driving financial performance, improving internal controls, and supporting strategic decision-making in a fast-paced, growth-oriented environment.

Key Responsibilities

Financial Reporting & Compliance

  • Participate in monthly, quarterly, and annual financial statements in line with US GAAP / IFRS and Polish statutory requirements
  • Assist with the audit processes and liaise with external auditors
  • Ensure compliance with local regulations, tax requirements, and internal policies
  • Support implementation and maintenance of robust internal controls (SOX desirable)

Manufacturing Finance & Cost Management

  • Support in cost accounting, including standard costing, variance analysis, and inventory valuation
  • Analyse production costs, margins, and operational efficiency across manufacturing site
  • Partner with operations to improve cost control, working capital, and productivity
  • Support capital investment analysis (CAPEX submissions) and ROI evaluations
  • Support margin analysis and growth

Financial Planning & Analysis (FP& A)

  • Participate in budgeting, forecasting, and long-range planning processes
  • Provide financial modelling and scenario analysis for strategic initiatives
  • Monitor financial performance and highlight risks/opportunities

Treasury & Cash Management

  • Participate in cash flow forecasting and liquidity management
  • Support financing activities, banking relationships, and debt covenant compliance

Private Equity Reporting & Stakeholder Management

  • Prepare investor reporting packages for Private Equity stakeholders
  • Support monthly board reporting, including KPIs, variance analysis, and financial performance insights.

Team Partnership

  • Work closely with plant Managing Director, Chief accountant and CFO (Ireland)
  • Backfill senior positions within the Finance Department

. Experience in multi-site or international organizations, Experience with PE reporting, financial modelling, Experience in a Private Equity-backed company, Experience in audit or Big 4 is a plus

Veröffentlicht 2026-07-23
Läuft ab 2026-10-21
Quelle