Financial Controller (remote) (CET & CET+2)

September 5

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JayWay Travel

Central & Eastern Europe Custom Tour Specialists

Custom Tours • Central & Eastern Europe

11 - 50

Description

• Overseeing the accounting operations of the company • Ensuring accurate financial reporting, compliance with regulations, and effective financial management • Leadership, strategic planning, and hands-on management of financial activities • Provide comprehensive financial reporting and updates to senior management • Develop, implement, and maintain financial controls • Achieve budgeting goals with proper scheduling, analysis, and corrective actions • Implement consistent accounting policies, practices, and procedures across the company • Monthly close – including all balance sheet account reconciliations, posting revenue, journal entries, review and accruing expenses • Prepare monthly financial statements timely • Develop and enforce internal controls, policies, procedures, and workflows • Establish budgets, KPIs and reporting standards on a monthly and annual basis • Support budget objectives by analyzing variances initiating corrective action if necessary and recommending improvements • Prepare and record payroll, contractor payments, manage benefits, policies and 401(k) • Assign, train and oversee the accounting team with AP, AR and credit card expenses • Track and reconcile Deferred Revenue monthly • Cash flow management - provides the status of financial condition by collecting, interpreting, and reporting financial data • Fulfil compliance role with federal, state, and local legal requirements • Assist with year-end tax requests, annual reports, audits, and reviews as required • Prepares special reports and ad hoc requests as needed • Shapes and manages the Finance department based on the company’s needs

Requirements

• Master’s and/or Bachelor’s degree in accounting, finance, or auditing • A deep understanding of US tax regulations is a must • Minimum of 5 years experience in a highly ranked accounting position, preferably in the travel industry • Experience in managerial positions, including budgeting, planning, controlling, financial reporting and analysis, and risk management • A deep understanding of accounting and bookkeeping, GAAP and IFRS, US taxes, and preferably EU tax regulatory and tax compliance • Deep understanding of cash flow management and cost reduction • Experience with Excel and Google Workspace, Xero, or other similar accounting software • Previous ISO 9001, ISO 27001 and or ISO 31000 standards certification experience would be a bonus

Benefits

• Competitive pay • Health & Wellness Allowance after completion of the probationary period • Fully remote-work position • Company MacBook provided • Travel opportunities • Performance bonuses

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