Develop and implement financial strategies, budgets, and forecasts.
Ensure accurate financial reporting in compliance with Latvian regulations and IFRS standards.
Manage cash flow, optimize resource allocation, and oversee tax compliance.
Monitor financial risks and implement mitigation strategies.
Lead and mentor the finance team, driving efficiency and growth.
Collaborate with the CEO, board members, and other departments to align financial goals with business objectives.
At least 3 years of experience as a Finance Director or in a similar leadership role.
Prior experience in road construction or production industries.
Proficiency in MS Excel and accounting software (Axapta or Navision preferred).
Fluency in Latvian, English, and Russian; knowledge of Lithuanian is a plus.
Strong analytical skills, strategic thinking, and a solution-oriented mindset.
Exceptional leadership and communication abilities, with the capacity to inspire and mentor teams.
High attention to detail and the ability to manage multiple priorities.
VECĀKAIS/-Ā GRĀMATVEDIS/-E
Pilna uzņēmuma grāmatvedības cikla pārvaldība, nodrošinot precīzu un savlaicīgu finanšu datu uzskaiti un atskaišu sagatavošanu;
Atbildīgs par grāmatvedības un finanšu darbībām un maksājumiem, iekšējo kontroli;
Parādu un bankas maksājumu pārvaldība un pārskatu sniegšana;
Krājumu uzskaite un saskaņošana;
Algas aprēķins, ja nepieciešams;
Komunikācija ar ārvalstu kolēģiem;
Augstākā izglītība - grāds grāmatvedībā/finansēs/uzņēmējdarbības vadībā;
3+ gadu pieredze grāmatvedībā/finanšu vadībā
Ļoti labas komunikācijas un saskarsmes prasmes;
Proaktivitāte un spēja uzņemties atbildību;
Analītiskā domāšana;
Spēja darboties patstāvīgi;
Izcilas latviešu un angļu valodas zināšanas;
Zināšanas un izpratne par grupas struktūru un savstarpējiem norēķiniem grupu struktūrā.
ĻOTI NOVĒRTĒSIM:
Zināšanas par Latvijas Republikas likumdošanu un prasmes tās pielietot;
Teicamas MS Excel zināšanas un pieredzi darbā ar Power BI (vēlams, bet ne obligāti);
Iepriekšēju darba pieredzi ar programmu Visma Horizon.
Treasury Manager
Oversee and plan daily, monthly, and yearly cash flow.
Cash pooling: managing payments, schedules, and distribution. Handle funds effectively and understand how to allocate them appropriately.
Manage relations with international banks working globally or Manage relations with global banking groups
Handling multiple currencies including currencies of emerging markets or Handling multiple currencies including currencies of regions MENA, LatAm, SEA.
Handle debt management and ensure compliance with covenants.
A Bachelor’s degree in Finance, Accounting, Economics, or a related field.
Strong analytical, communication, and negotiation skills.
Proficiency with treasury management systems and financial software.
Proven experience in managing a Treasury team.
Understanding of hedging tools.
Advanced proficiency in Microsoft Excel, including the ability to create complex formulas, pivot tables, and chart.
Chief Accountant
General accounting and bookkeeping for selected clients
Coaching and developing assistant team members
Communication with clients
3+ years of experience in full-cycle accounting and payroll
Experience with Latvian GAAP and tax laws
Good knowledge of MS Excel, IT, and accounting systems
Fluent Latvian, good knowledge of English, and other language skills will be considered an advantage
Excellent communication skills and a team player
Highly ethical and reliable personality
Client-oriented person
Nice to have skills: Experience with NAV, Edrana, Directo, SAP, SCALA