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Dla naszego Klienta, polskiej spółki gamingowej, poszukujemy osoby, która wesprze Główną Księgową w codziennych, operacyjnych zadaniach.Po okresie wdrożenia możliwość pracy hybrydowej do 3 dni w tygodniu zdalnie.
This position is responsible for ensuring timely and accurate monthly account certifications and related balance sheet activities across multiple North American divisions. This includes verifying that each reconciliation is fully supported by documentation, confirming subledger details align with the corporate general ledger, documenting outstanding items, and investigating and resolving significant revenue and expense variances in the following month.
Business Controller
Dla naszego Klienta, międzynarodowej oraz stabilnej spółki produkcyjnej, poszukujemy doświadczonej osoby z obszaru księgowości, która obejmie stanowisko Głównej Księgowej.
Dla naszego klienta, firmy o międzynarodowej ekspozycji, poszukujemy Specjalisty do działu Technical Accounting. Wymagana jest biegła znajomość języka angielskiego, a praca odbywa się w systemie hybrydowym, z jednym dniem stacjonarnym w biurze w Warszawie, dogodnie zlokalizowanym przy linii metra M1.
Poszukujemy doświadczonej Księgowej do pracy w sektorze nieruchomości. Idealny kandydat będzie odpowiedzialny za prowadzenie pełnej księgowości w dynamicznym środowisku deweloperskim.
This role is a great opportunity to join a growing finance function in a production environment, combining operational accounting responsibilities across both AP and AR processes within a single position. The successful candidate will play a key role in supporting daily accounting activities, month-end close, and process improvements while working closely with the local CFO and contributing to the development of SSC, process-based standards.
This is a global Corporate Auditor role offering exposure to international operations across the EMEA region. The position focuses on financial and operational audits, risk assessment, and identifying process improvement opportunities, with regular stakeholder interaction.
The role involves preparing tenant billing (rent and recharges), generating invoices, booking incoming payments, and supporting follow‑ups on outstanding rent. The analyst will also assist with lease documentation reviews for acquisitions, dispositions and amendments, maintain lease administration files, and communicate with tenants and third‑party service providers.
Our client is an international trading company offering high-quality products. The candidate will be responsible for business controlling and financial business partnering for the Ukrainian entity. Fluency in Ukrainian and English is required. The role is based in Warsaw office.
Our client is a global FinTech leader combining cutting-edge technology with human expertise to deliver a broad range of financial solutions, including insurance, reinsurance, cyber services, and mortgage origination.
Our client is an international real estate company. The hired candidate will be responsible for business controlling of selected properties from the investment portfolio managed by the company. This could be an interesting role for candidates who already have experience in financial analysis or controlling in the real estate sector, or those with a financial audit background.
For our client - an international manufacturing company - we are looking for a Head of Controlling.
This is a position within the UK Retail insurance broking accounting team based in the Gdańsk SSC. Working under day-to-day supervision, the role focuses on executing transactional and process-driven accounting activities. The position plays a key supporting role in establishing robust controls and standardized processes as activities are transitioned into the Shared Services Centre.
We are looking for an experienced Financial Controller who will play a key role in building and managing the finance function locally.This is a unique opportunity for a senior, hands-on professional who enjoys ownership, independence, and working in a growing, non-corporate environment.
For our global client, a fast-growing fintech organization, we are currently looking for a General Accounting Specialist. We are looking for a hands-on accounting professional with strong expertise in high-volume balance sheet reconciliations and a solid understanding of end-to-end accounting flows, working in a dynamic, international environment.
For our global client, a fast-growing fintech organization, we are looking for a Senior General Accounting Specialist with strong expertise in balance sheet reconciliations and GL analysis. This role involves working in a complex, multi-entity international environment, performing advanced reconciliations, variance analysis, and partnering with global stakeholders, including US teams.
Dla naszego klienta z branży technologicznej szukamy osoby na stanowisko Nearshore Finance & Operations Controller.
Poszukuję Treasury Managera dla spółki usługowej z branży medycznej. Rola obejmuje zarówno współpracę z bankami jak i analizę przepływów pieniężnych oraz udział w projektach finansowych,np. w procesach M&A.Będzie to rola związana również z zarządzaniem zespołem. Jest to stanowisko dla osoby analitycznej, samodzielnej i dobrze odnajdującej się w pracy przekrojowej z różnymi działami w grupie spółek
This position is responsible for managing month‑end activities, preparing journal entries, performing balance sheet reconciliations, and supporting audits. The role requires strong analytical skills, attention to detail, and the ability to work in a fast‑paced environment. This is an excellent opportunity for someone who wants to grow within a modern, digitally‑enabled organization and be part of an innovation‑focused finance function
Head of Finance
Our client is a well-established, international organization operating in a dynamic and fast-growing industry. The company is known for its strong focus on data-driven decision-making, continuous improvement, and high-quality standards across its operations.
The auditor position will be focused on SOX testing and participation in designing and establishing SOX processes within a newly formed team. The recruitment is open to candidates with a minimum of two years of experience in internal audit or with audit experience gained in a Big4 firm.
Work in an international organization - a growing SSC based in Wrocław, operating in a global environment and offering the opportunity to collaborate with teams across different countries.
We are currently looking for an Accountant to join the Balance Sheet Reconciliation team. This role focuses on ensuring the accuracy and integrity of financial data through high-quality reconciliations and analysis.You will work closely with senior team members and cross-functional finance teams, contributing to month-end close and financial reporting across multiple entities.
This is a newly created leadership role within a growing international organization that is strengthening its global Finance Governance & Controls capabilities. Based in Gdańsk, you will play a critical role in building and shaping a SOX compliance framework from the ground up, supporting entities across Europe, the United States, and South America.
We are looking for an experienced Plant Controller to join a growing international manufacturing organization and play a key finance leadership role in the expansion of its operations in Poland.
Dla naszego klienta poszukujemy osoby, która obejmie nowo tworzoną rolę Kontrolera Finansowego i będzie realnym partnerem dla Prezesa Zarządu w obszarze finansów, analiz oraz decyzji biznesowych. To stanowisko dla osoby, która lubi mieć wpływ, potrafi łączyć liczby z biznesem i chce budować controlling w organizacji o dużym znaczeniu operacyjnym i społecznym.
We are seeking an experienced Treasury Analyst to support and enhance our international Treasury operations, with a strong focus on systems, automation, and process optimization.
Stanowisko obejmuje kompleksowe zarządzanie płynnością finansową oraz wsparcie organizacji w zakresie finansowania, zarządzania ryzykiem i współpracy z instytucjami finansowymi. Osoba na tym stanowisku będzie odpowiedzialna za prognozowanie przepływów pieniężnych, analizę ryzyk finansowych oraz optymalizację procesów treasury w organizacji.
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