Controlling Specialist
Job Overview
KPMG Delivery Network (KDN) is a structured business unit within KPMG that enables clients to expand their operational capacity with the help of seamlessly integrated delivery center locations across the world.
While KPMG local firms provide technical insight and advice on local compliance requirements, KPMG Delivery Network professionals offer 24/7 support, extensive experience, and strong technological capabilities in global compliance processes, controls, data analytics, and automation. The team also provides project management expertise and global business acumen.
What we offer*:
3 days home office opportunity and flexible working hours
Private health care coverage including dental services (Medicare)
Eyeglasses compensation
Collective life and accident insurance
Wide range of Cafeteria elements (such as SZÉP Card, MOL Bubi, MOL Limo)
Annual bonus may be awarded based on your and the Firm’s performance
iPhone14 with subscription
Referral bonus
Internal coaching opportunity
Sports opportunities and All You Can Move sportpass availability
Compensation for long-distance commutes (for those who commute to work from outside the city limits)
Relocation support for foreign candidates
3 paid days for volunteering and CSR activities
In-depth professional training from beginner to advanced level
Opportunity to participate in English and Hungarian language courses
Responsibilities:
As part of the Controlling team, you will be responsible for ensuring the accuracy and completeness of all accounting records, including the financial statements of all KDN entities. Your main responsibilities will include:
Managing day-to-day financial activities and ensuring compliance with KDN principles and policies.
Ensuring smooth and timely month-end closing for assigned KDN entities.
Ensuring the completeness and accuracy of the income statement and balance sheet for assigned KDN entities.
Analysing Accounts Payable data and General Ledger transactions to identify required cost accruals.
Preparing other journal entry requests to be submitted to the GL team for booking.
Preparing and reconciling intercompany cost allocations and recharges in line with underlying Service Level Agreements.
Coordinating with functional FP&A teams and other stakeholders to ensure accuracy and completeness of financial records and to support financial analysis.
Assisting in the preparation for annual audits and budget preparation.
Performing various account reconciliations.
Preparing other financial analyses and reports (both regular and ad-hoc).
Requirements:
Preferred background: Bachelors / Master's degree in Finance and Accounting
Languages: Strong written and spoken English language knowledge
Technical skills and Experience: 1,5-2 years of finance operations, financial and management accounting experience,
Advanced Excel skills,
Excellent time management and ability to meet constant deadlines,Ability to multi-task and manage conflicting demands/priorities,
Strong analytical and problem solving skills with mindset for continuous improvement
*Elements should be in line with company guidelines and policies
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