Állás részletei
-
Cég neve
FF Zrt.
-
Munkavégzés helye
Hibrid • 1097 Budapest, Könyves Kálmán körút 11C. -
Egyéb juttatások
- Mobiltelefon
- Szakmai tréningek
-
Munkaidő, foglalkoztatás jellege
- Teljes munkaidő
- Alkalmazotti jogviszony
- Általános munkarend
-
Biztosított eszközök
- Laptop
- Mobiltelefon
-
Elvárások
- Angol felsőfok
- 5-10 év tapasztalat
- Egyetem
Állás elmentve
A hirdetést eltávolítottuk a mentett állásai közül.
A hirdetés adatait sikeresen elküldte az email címére.
Állás leírása
Responsibilities
Key Responsibilities
Financial Analysis & Performance Management
Financial Analysis & Performance Management
- Prepare and analyze P&L, Balance Sheet and Cash Flow at:
- Entity level (FF manufacturing, MED sales office)
- Consolidated group level
- Build bridges and variance analyses (plan vs actual, YoY, forecast vs actual)
- Deep-dive into cost structures, margins, working capital and cash drivers
- Identify root causes, risks and opportunities — not just numbers, but business logic
- Prepare monthly management reporting packs with clear narratives
- Support Shareholder and Board-level materials (executive summaries, insights, conclusions)
- Translate complex financial topics into clear, structured, decision-oriented messages
- Ensure consistency between operational reality and financial reporting
- Act as a bridge between Finance, Manufacturing, Sales and Operations
- Challenge assumptions, ask the right questions, and help teams understand financial impact
- Support budgeting, forecasting and scenario analyses
- Proactively propose corrective actions and improvement initiatives
- Support group consolidation logic (structure, eliminations, comparability)
- Ensure data integrity, transparency and audit-ready documentation
- Continuously improve reporting logic, structure and analytical depth
Requirements
Required Profile
Professional Skills
Professional Skills
- Strong experience in financial analysis, controlling or FP&A (strong preference of manufacturing experience)
- Confident handling of P&L, Balance Sheet and Cash Flow
- Strong analytical and structuring skills — able to connect dots across functions
- Experience with variance analysis, bridges, forecasting and scenario modeling
- Advanced Excel skills; ERP/BI experience is an advantage
- Highly independent, self-driven and proactive
- Strong business mindset — understands how operations, sales and finance connect
- Able to formulate conclusions and recommendations, not just reports
- Excellent communication skills — can explain complex issues clearly
- Comfortable working with senior management and shareholders
- Excellent Hungarian and English (verbal and written) – must be fully fluent
- German is a strong advantage, but not mandatory
What we offer
- A high-impact, visible role close to decision-making
- Exposure to manufacturing, sales and group-level finance
- Real influence on how the business is steered
- A fast-moving, transformation-oriented environment
- Competitive compensation aligned with senior analytical responsibility
Workplace extras
- Canteen
- Corporate events
- Parking
- Work clothes
How to apply
Click the "Apply" button to submit your résumé.
Állás, munka területe(i)
Álláshirdetés jelentése