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Search for start-ups/growth companies that develop a product/service applicable in the game development process or used in the wider entertainment industry;
Establish contact with founders/owners (public events/cold contacts etc.);
Perform quantitative and financial analysis, including company financials, market sizing, and unit economics;
Perform valuation analysis using DCF and comparable approaches;
Company and competitor research;
Create financial models and projections;
Writing investment memos and preparing compelling presentations;
Take part in negotiations with potential investors;
Search for start-ups/growth companies that develop a product/service applicable in the game development process or used in the wider entertainment industry;
Establish contact with founders/owners (public events/cold contacts etc.);
Perform quantitative and financial analysis, including company financials, market sizing, and unit economics;
Perform valuation analysis using DCF and comparable approaches;
Company and competitor research;
Create financial models and projections;
Writing investment memos and preparing compelling presentations;
Take part in negotiations with potential investors;
Handle task assignment, team coordination, monitoring the team’s progress, and reporting to Production and QA Management on coverage progress throughout the testing cycle;
Evaluate and recommend appropriate automation tools that suit the project’s technology stack, testing needs, and scalability requirements. Stay updated with the latest advancements in automation tools and frameworks;
Ensure that automated tests are seamlessly triggered as part of the development process and provide quick feedback;
Assist tester onboarding, coaching, and own performance assessment;
Collaborate on high-level and weekly planning of workload based on content delivery and staff availability;
Make effective use of test hours and resources, identifying risks that affect project goals and escalate to management;
Design test plans and perform technical documentation analysis and test scenario creation and updating;
Provide training and guidance to team members on using automation tools effectively. Offer technical support and troubleshooting assistance for automation-related challenges;
Handle task assignment, team coordination, monitoring the team’s progress, and reporting to Production and QA Management on coverage progress throughout the testing cycle;
Evaluate and recommend appropriate automation tools that suit the project’s technology stack, testing needs, and scalability requirements. Stay updated with the latest advancements in automation tools and frameworks;
Ensure that automated tests are seamlessly triggered as part of the development process and provide quick feedback;
Assist tester onboarding, coaching, and own performance assessment;
Collaborate on high-level and weekly planning of workload based on content delivery and staff availability;
Make effective use of test hours and resources, identifying risks that affect project goals and escalate to management;
Design test plans and perform technical documentation analysis and test scenario creation and updating;
Provide training and guidance to team members on using automation tools effectively. Offer technical support and troubleshooting assistance for automation-related challenges;
Implement technologically-advanced group-level treasury management systems integrated with the bank;
Assess continuously the business need for new banking products and payment instruments in different countries and legal entities, for different types of transactions;
Identify and implement the optimal structure of bank accounts at different banks and currency exposures;
Analyze the banking industries of countries, where the Group has a material business presence and cash flows;
Analyze the financial position (assets, liabilities, and equity), financial performance, and cash flows of banks, where the Group is being served;
Review financial statements and disclosures to assess the exposure to credit risks, and support a decision to stay with or change the bank;
Analyze the cost of banking services for the Group;
Review and substantiate the proportions to allocate liquidity and cash flows between different banks, taking into account the banks’ credit risks and the estimated costs;
Manage the process of opening and closing bank accounts, credit cards, coordinate the preparation and submission of legal documents;
Perform procedures for re-identification of legal entities as bank customers whenever there is a change in controlling shareholders and/or UBOs;
Perform procedures when changing/adding an authorized person of a legal entity for a bank;
Fill out the banking questionnaires, accompany the filling out of questionnaires by lawyers, and verify the accuracy of completed data by comparing it with corporate documents and state registers, provide information to the bank;
Prepare treasury analytics for management, review efficiency of current assets, A/R and A/P turnover, and Cash Conversion Cycle;
Design and maintain treasury dashboards and analytical metrics, risk-management metrics;
Build a cash flow forecast, analyze upcoming cash flow and currency requirements, and manage cash balances;
Design and implement Treasury Policies and Procedures;
Assist in the ERP implementation (setting business requirements, testing, UAT)
Conduct day-to-day accounting under IFRS for legal entities in Poland;
Do IFRS accounting of 2 small companies in the USA;
Perform period-end closing procedures;
Cooperate with local tax, payroll, and accounting services providers to ensure:
compliance with local accounting, tax laws, and regulations in Poland;
compliance with accounting standards (GAAP) in Poland;
compliance with corporate income tax (CIT) laws;
compliance with VAT laws;
Participate in the external audit of the Group. Сollect and submit to external auditors accounting source documents in response to audit inquiries and substantive procedures;
Participate in other projects and tasks of the Accounting Team of the Room 8 Group
Conduct day-to-day accounting under IFRS for legal entities in Poland;
Do IFRS accounting of 2 small companies in the USA;
Perform period-end closing procedures;
Cooperate with local tax, payroll, and accounting services providers to ensure:
compliance with local accounting, tax laws, and regulations in Poland;
compliance with accounting standards (GAAP) in Poland;
compliance with corporate income tax (CIT) laws;
compliance with VAT laws;
Participate in the external audit of the Group. Сollect and submit to external auditors accounting source documents in response to audit inquiries and substantive procedures;
Participate in other projects and tasks of the Accounting Team of the Room 8 Group
Handle task assignment, team coordination, monitoring the team’s progress, and reporting to Production and QA Management on coverage progress throughout the testing cycle;
Assist tester onboarding, coaching, and own performance assessment;
Collaborate on high-level and weekly planning of workload based on content delivery and staff availability;
Make effective use of test hours and resources, identifying risks that affect project goals and escalate to management;
Design test plans and perform technical documentation analysis and test scenario creation and updating;
Conduct day-to-day accounting under IFRS for a local legal entity:
Record sales and purchase transactions, acquisition of fixed assets;
Verify VAT amounts;
Record payroll expenses and the accrual of payroll liabilities;
Perform bank statements reconciliation. Supplier statements reconciliation;
Collect and verify source accounting documents. Ensure completeness of source documents for all transactions posted to the general ledger;
Perform period-end closing procedures;
Ensure compliance with local accounting and local tax laws and regulations
Comply with local accounting standards (GAAP). Prepare and file statutory financial reporting for legal entity;
Comply with corporate income tax (CIT) laws. Prepare and file CIT returns and ensure the timely payment of taxes;
Compliance with VAT laws. Prepare and file VAT returns and ensure the timely payment of taxes;
Participate in the external audit of the Group: collect and submit to external auditors accounting source documents in response to audit inquiries and substantive procedures;
Participate in other projects and tasks of the Accounting Team of the Room 8 Group
Conduct day-to-day accounting under IFRS for a local legal entity:
Record sales and purchase transactions, acquisition of fixed assets;
Verify VAT amounts;
Record payroll expenses and the accrual of payroll liabilities;
Perform bank statements reconciliation. Supplier statements reconciliation;
Collect and verify source accounting documents. Ensure completeness of source documents for all transactions posted to the general ledger;
Perform period-end closing procedures;
Ensure compliance with local accounting and local tax laws and regulations
Comply with local accounting standards (GAAP). Prepare and file statutory financial reporting for legal entity;
Comply with corporate income tax (CIT) laws. Prepare and file CIT returns and ensure the timely payment of taxes;
Compliance with VAT laws. Prepare and file VAT returns and ensure the timely payment of taxes;
Participate in the external audit of the Group: collect and submit to external auditors accounting source documents in response to audit inquiries and substantive procedures;
Participate in other projects and tasks of the Accounting Team of the Room 8 Group
Administrative Department Assistant - Asystent Działu Administracyjnego
Warszawa
Wygasła: 13.05.2022
full-time
umowa o pracę
assistant
Obowiązki:
Provide company employees with equipment to work through delivery (directly or by mail);
Ensure the preservation of household equipment, its restoration, and replenishment, as well as maintaining tidiness in the premises and the surrounding area;
Monitor the condition of office space and take measures for timely repairs;
Assist in equipping the company’s office with the necessary furniture, inventory, equipment, consumables;
Conduct an inventory of entrusted property;
Report according to the established form;
Assist the secretaries in receiving goods from suppliers
Manage the team of 6+ professionals (financial analysts and investment analysts);
Design the Group’s long-term financial planning and control framework;
Lead strategic financial planning and budgeting projects;
Analyze strategy and investment projects of business segments, their impact on margins and cash flows;
Prepare a 5-year financial model (a 3-statement model) aligned with the strategy of each business unit and inputs from C-level management. Perform scenario analysis, sensitivity analysis. Ensure the financial model is fully comparable with the Group’s IFRS financial statements;
Assess operating synergies from potential M&A deals;
Maintain the Group’s financial structure. Define centers of financial responsibility and their targets;
Analyze and communicate to executives the Group’s financial and operating performance vs. the budget;
Design executive dashboards;
Lead the preparation of the financial analysis, variance analysis, factor analysis (analysis of budget execution by operational driving factors), project margins’ analysis, revenue & cash generation analysis, operational efficiency analysis;
Manage the Annual & Quarterly Budgeting;
Manage requests from external stakeholders (potential investors, creditors, and M&A targets) over financial information
Conduct day-to-day accounting under IFRS for a legal entity in Poland:
Record sales and purchase transactions, acquisition of fixed assets;
Verify VAT amounts;
Record payroll expenses and the accrual of payroll liabilities;
Perform bank statements reconciliation. Supplier statements reconciliation;
Collect and verify source accounting documents. Ensure completeness of source documents for all transactions posted to the general ledger;
Perform period-end closing procedures;
Ensure compliance with local accounting and tax laws and regulations in Poland. Ensure compliance with accounting standards (GAAP) in Poland. Prepare and file statutory financial reporting for legal entity;
Ensure compliance with corporate income tax (CIT) laws. Prepare and file CIT returns and ensure taxes are paid on time;
Ensure compliance with VAT laws. Prepare and file VAT returns and ensure taxes are paid on time;
Participate in the external audit of the Group: collect and submit to external auditors accounting source documents in response to audit inquiries, and substantive procedures