Get to know us better
CodiLime is a software and network engineering industry expert and the firstchoice service partner for top global networking hardware providers software providers and telecoms. We create proofsofconcept help our clients build new products nurture existing ones and provide services in production environments. Our clients include both tech startups and big players in various industries and geographic locations (US Japan Israel Europe).
While no longer a startup we have 250 people on board and have been operating since 2011 weve kept our peopleoriented culture. Our values are simple:
- Actto deliver.
- Disruptto grow.
- Team upto win.
Your role
As a part of the project team you will be responsible for:
Reporting
- Participation in the monthend closing process and coordination of the reporting process
- Supervising the correctness of allocation and accounting of costs (general and project)
- Preparation and managing monthly reports for the Management including profit & loss balance sheet cash flow detailed analysis of revenues costs receivables etc
- Analyzing financial and operational results to better understand companys and each BU results and performance
- Active participation in creating and managing Companys accounting schemes and financial principles
- Acting as a business partner to propose meaningful analysis regarding business operational and financial KPIs
- Preparing reviews for monthly / yearly tax declarations (CIT VAT ZUS)
- Collaborating and reporting data with external institutions like banks auditors etc
Budgeting & forecasting
- Preparation of the companys annual budget
- Monitoring the execution of the companys annual budget analysis and explanation of deviations
- Preparing detail short and long term cash flow forecasts including error / deviation analysis
- Participation in shaping and coordinating the planning and control process in order to constantly improve the companys cost efficiency
- Work with Business Group heads to build their annual budgets and forecasts
- Working closely with the Management Team to formulate the businesss short term and long term financial and strategic plans
- Producing models to project long term growth and determine the impacting business factors
- Preparing business cases to support new investment strategic and other business decisions
- Preparing other ad hoc analyses
Tools
- Utilizing reports and tools to deliver meaningful insights into business performance
- Researching developing and implementing data / information reporting tools in response to business expectations
Do we have a match
As aFinancial Controller you must meet the following criteria:
- Minimum of 5 years of relevant experience in reporting and controlling
- Strong knowledge of finance and accounting principles including financial modeling and variance analysis
- Significant analytical skillset including practical knowledge BI SQL PowerQuery and other reporting tools/ database systems
- Resultsoriented hands on approach
- Able to solve complex problems
- Excellent communication skills with ability to build relationships
- Fluent knowledge of English and Polish
- Experience in working with fastgrowing companies and/or in an IT industry (nice to have)
More reasons to join us
- Flexible working hours and approach to work: fully remotely in the office or hybrid
- Professional growth supported by internal training sessions and a training budget
- Solid onboarding with a handson approach to give you an easy start
- A great atmosphere among professionals who are passionate about their work
- The ability to change the project you work on