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Descrizione del lavoro:
Hungry for challenges? Join a group with innovation at its heart and contribute to the automotive revolution!
(COMPANY NAME) is a world-leading provider of innovative solutions for a unique, safer and more sustainable mobility experience. Innovation-driven since its creation, the Group develops and produces intelligent exterior systems, customized complex modules, lighting systems, clean energy systems and electrification solutions for all mobility companies. With a EUR9.5 billion economic revenue in 2022, a global network of 150 plants and 43 R&D centers, (COMPANY NAME) relies on its 40,500 employees to meet the challenges of transforming mobility.
(COMPANY NAME) Module division develops, assembles and delivers complex, just-in-sequence modules for mass production. World leader, HBPO, now 100% (COMPANY NAME), specializes in highly integrated modules, including front-end & cockpit modules, center consoles and charge lid modules. Through new BEVs architectures, it constantly develops new modules with customized solutions.
Our ambition? Provide automakers with cutting-edge equipment and solutions to develop tomorrow's clean and connected car.
Mission:
The Accounting & Tax Analyst VIE will report directly to the Finance Director of South America and will assist in the tax and accounting activities of Brazil. The VIE will develop his/her accounting and tax expertise through five rotations within the Accounting & Finance team.
The projected timeline (subject to change) of the missions is the following:
Month 1-6: Tax routine
- Understanding the Brazilian tax system
- Launching of invoices and other financial documents
- Control of invoices issued and not released
- Special invoices elaboration
- Invoice Validation
Month 7-12: Indirect TAX and Accessory Obligations
- Tax calculation - ICMS/IPI/PIS/COFINS (VAT TAXES)
- Governament accessory obligations
Month 13-15: Account Payables and Receivables
- Account Payables routine, control and reports
- Accounts Receivables routine control and reports
- Support to Treasury team on Forecast elaboration
Month 16-18: Accounting
- External audit - BRA and ARG
- Financial Statement - BRA and ARG
- Balance Sheet Review Analysis
Month 19-24: Cash Managment
- Direct Cash Flow
- Indirect Cash Flow
- Actual vs Budget and Forecast Analysis
Personal Background:
* Bachelor/master's degree in finance and/or Accounting
* Previous experience in Finance, Accounting or Tax department
Skills and Abilities:
* Knowledge of IFRS, Accounting and Auditing Procedures
* Fluent in English
* Desirable knowledge of Spanish
* Knowledge of SAP MM, SD, FI, CO preferred
* Ability to collect, maintain and analyze data
* Advanced MS Office Excel formula skills
* Maintain confidentiality at all times
* Team-oriented
* Excellent written and oral communication skills
As a responsible company, (COMPANY NAME) pays particular attention to diversity and equality within its teams and the Group commits to treat all job applications equally
Provenienza: | Web dell'azienda |
Pubblicato il: | 30 Apr 2024 |
Tipo di impiego: | V.I.E. |
Lingue: | Inglese |
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