Táto pozícia už nie je k dispozícii.

Finance Analyst (EMEA)

Zmluva na dobu neurčitú
Maidenhead
Plat: Neuvedené
Niekoľko dní doma

Dynatrace
Dynatrace

Máte záujem o túto ponuku?

jobs.faq.title

Pozícia

Popis pracovnej ponuky

Company Description

Dynatrace exists to make the world’s software work perfectly. Our unified software intelligence platform combines broad and deep observability and continuous runtime application security with the most advanced AIOps to provide answers and intelligent automation from data at an enormous scale. This enables innovators to modernize and automate cloud operations, deliver software faster and more securely, and ensure flawless digital experiences. That is why the world’s largest organizations trust Dynatrace® to accelerate digital transformation. 

Job Description

What’s the role?

The Financial Analyst (EMEA) works within the Maidenhead based EMEA Finance Shared Services Centre to deliver EMEA wide projects, including but not limited to month end analysis, cash flow actual analysis and forecast, wage accounting, fixed Asset accounting.

 

This role works closely with Financial Accountants, Commissions/Bonus team, Credit Control, Accounts Payable, local payroll providers, Payroll team and Tax to ensure Dynatrace EMEA’s books and records are accurate and compliant with both US and local GAAPs as necessary.

 

Responsibilities:

  • Month End analysis
  • Produce the month end Income Statement report to Accounting for their month end analytical review.
  • Liaise with all members of the Shared Services Centre in the UK who will have input into those numbers to ensure accuracy and understanding.
  • Analyse monthly Income Statement and Balance Sheet movement and consolidate the analytical reviews from Accounting into the EMEA view for timely management review, committing to the corporate deadlines.

 

Cash Flow Consolidation

  • Timely preparation of the Cash Flow template for Accounting to populate their actuals for the current month and forecast for the future periods.
  • Produce the cash inflow forecast, liaising with credit control team and forecast the billing/collection from the future bookings.
  • Produce the centralized forecast for disbursements, including commission, bonus, payroll, billing, Taxes on shares etc.
  • Consolidate the inputs from Accounting, reconcile to NetSuite/Tax/AP, analyse variances.

 

AR analysis

  • Produce the monthly Aged AR report
  • Analysis the Aged AR and send the board pack to the US
  • Liaise with the credit control team to track the collection against forecast

 

Monthly payroll accounting

  • Monthly wage accounting for actuals and wage accruals, liaising closely with Payroll teams

 

Fixed Asset accounting

  • Maintaining the Fixed Assets module, including monthly accounting and reconciliation

Preferované skúsenosti

Qualifications

What we’re looking for:

  • Trainee accountant (ACCA or CIMA)
  • Excellent MS Excel skills (including pivot tables, lookups and charts)
  • Able to prioritise and deliver high quality/accurate/timely reporting with great attention to detail.
  • Excellent verbal and written English communication skills required, must be comfortable connecting with and communicating with individuals at all levels in the organization
  • Must be a highly motivated individual with the ability to engage others
  • A strong work ethic with proven analytical skills
  • US GAAP experience advantageous
  • Multi country, multi currency experience advantageous
  • Knowledge of SOX compliance would be advantageous
  • Experience of NetSuite ERP advantageous
  • Experience of Blackline reconciliation system advantageous

Chcete sa dozvedieť viac?