Job details
Ensure all financial transactions are accurately recorded, documented, and reported in compliance with local statutory and regulatory requirements and group standards
Maintain close oversight of cash flow and working capital, supporting actions to manage liquidity in the context of local market dynamics, including inflation and currency volatility
Support the annual budgeting and periodic forecasting processes by providing local financial insights and ensuring alignment with actual performance
Maintain and continuously strengthen internal control processes to ensure financial integrity and compliance
Serve as a key user of financial and reporting systems, supporting data accuracy and process efficiency; act as the primary local contact for internal and external audits, ensuring timely and accurate provision of required information
Collaborate closely with the Senior Finance Manager and act as the primary local liaison with the Finance Shared Service Center, ensuring smooth coordination of accounting, reporting, and transactional processes while maintaining alignment with local statutory and business requirements
Proactively identify process improvement opportunities to enhance reporting quality and operational effectiveness
Bachelor’s degree in Accounting, Finance, or a relevant field
Fluency in Turkish and English (written and spoken)
Ability to build effective working relationships across functions and geographies
5+ years of relevant experience in finance or accounting roles, preferably within an international or matrix organization
Strong knowledge of local statutory accounting and financial regulations
Experience working with shared service centers or centralized finance structures with remote teams
Solid understanding of financial reporting requirements under IFRS and/or US GAAP
Experience supporting internal and external audits
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