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Experience Level
Manager
Qualifications
The ideal candidate will possess a strong background in finance or accounting, with experience in financial analysis and management. Exceptional analytical skills and proficiency in financial software are essential. Candidates should demonstrate excellent communication abilities and a keen attention to detail.
About the job
CD Projekt Red is seeking a Finance Manager to support Studio Operations in Warsaw. This position centers on financial planning, budgeting, forecasting, and reporting. The Finance Manager will work closely with the finance team to keep financial strategies in line with company goals.
Role overview
This role focuses on developing and maintaining financial plans, preparing budgets, and producing forecasts. Regular financial reporting will help guide decisions and track progress toward business objectives.
Key responsibilities
Prepare and manage budgets for Studio Operations
Develop financial forecasts to support planning
Produce financial reports that inform leadership
Ensure financial activities align with company objectives
Location
This position is based in Warsaw.
About CD Projekt Red
CD Projekt Red is a renowned video game developer based in Warsaw, Poland, known for creating critically acclaimed titles such as The Witcher series and Cyberpunk 2077. Our commitment to innovation and quality has established us as a leader in the gaming industry.
CD Projekt Red is seeking a Finance Manager to support Studio Operations in Warsaw. This position centers on financial planning, budgeting, forecasting, and reporting. The Finance Manager will work closely with the finance team to keep financial strategies in line with company goals. Role overview This role focuses on developing and maintaining financial pla…
Join AbbVie as a Business Finance Manager, where you will play a crucial role in managing financial strategies and contributing to our mission of delivering innovative therapies. You will collaborate with cross-functional teams to analyze financial performance, develop budget forecasts, and optimize resource allocation.
SKELAR is a pioneering Ukrainian venture builder dedicated to creating international tech enterprises. Together with our co-founders, we assemble exceptional teams to win in global markets.Currently, SKELAR operates a diverse portfolio of businesses across various sectors, from EdTech to marketplaces. Our companies consistently rank among the top startups and product firms in Ukraine, achieving high standings in the AppStore and developing platforms used by millions worldwide. Our successes have been featured in prominent media outlets such as TechCrunch and Wired.We take pride in our robust team of over 1300 professionals who possess remarkable expertise and ambitious goals. Our people are our greatest asset, and we are committed to building businesses with the top talent available in the market.Our International Reporting and Tax Compliance Team is seeking a Finance & Reporting Manager to enhance the financial reporting processes for the SKELAR group across various jurisdictions (EU, UK, US, Asia).Joining our team now means:Gaining unique experience in managing international financial infrastructure and overseeing global financial risks.Acquiring expertise in structuring operations, coordinating audits, and ensuring tax compliance.Participating in cross-functional projects, collaborating with treasury, corporate, and tax lawyers.Having a real opportunity to influence processes, participating in their transformation and setting them up from scratch.Making quick decisions and executing ideas swiftly — minimal bureaucracy in decision-making.Your responsibilities will include:Coordinating financial statement audits: overseeing audits for group companies, preparing financial statements, liaising with auditors, and resolving issues arising during audits.Preparing financial reports: regularly generating standalone and consolidated financial statements. Communicating with key stakeholders: treasury, external consultants, CPA, C-Level executives.Ensuring tax compliance:
Role overview The Head of Finance for Operational Hubs oversees financial strategy and daily operations across Clifford Chance's global hubs. The position plays a key part in maintaining sound financial management and ensuring compliance, with an emphasis on enabling business growth. Key responsibilities Lead financial operations and planning for several international hubs Collaborate with senior leadership to enhance financial performance Supervise adherence to internal policies and external regulations Contribute to growth initiatives by providing financial analysis and insight Location This role is based in Warsaw.
Delivery Hero SE is hiring a Finance Director based in Warsaw to lead financial operations for its business in Poland. This position plays a central role in shaping financial strategy and ensuring that planning and reporting align with company goals. Role overview The Finance Director will oversee financial planning, analysis, and reporting activities. This includes developing budgets, monitoring performance, and implementing financial controls. The role sits on the leadership team and contributes to strategic decisions that support Delivery Hero’s mission in the Polish market. Key responsibilities Lead financial planning and analysis for Poland Prepare and review financial reports to ensure accuracy and compliance Develop and manage budgets in line with corporate objectives Implement and maintain effective financial controls Support strategic decision-making as part of the leadership team Impact This role supports Delivery Hero’s commitment to customer satisfaction by providing financial guidance that enables innovative delivery solutions.
Dentons Business Services EMEA serves as the operational backbone of Dentons, the world’s largest law firm, and is dedicated to providing exceptional support services to clients throughout Europe, the Middle East, and Africa. As a vital part of Dentons’ global network, our EMEA business services team is instrumental in enhancing efficiency, fostering innovation, and promoting collaboration.At Dentons Business Services EMEA, we pride ourselves on delivering excellence in support to legal professionals through advanced solutions. Our dynamic and diverse team collaborates effectively to offer a comprehensive range of services, including finance, IT, human resources, marketing, and beyond. We are committed to nurturing a culture of continuous improvement and adaptability.Role Overview:The Finance Data Administration Specialist is pivotal in ensuring the quality of data utilized by our Finance Departments. This role entails managing daily workloads and tasks related to financial master data, including clients, matters, and fee earners. The specialist will also support the Finance Data Administration Process Owner and various processes within Revenue Management. The role encompasses two primary areas of responsibility. The first involves the activation, maintenance, and deactivation of fee earners’ accounts, resolving integration issues, and guaranteeing data quality and accuracy between HR/Talent and Finance systems. Additionally, the role aims to enhance results and streamline time recording processes through standardization and automation, as well as managing daily tasks related to missing time reports and timekeeper follow-ups.The second area focuses on maintaining records for clients, matters, and payors across all European offices. This includes resolving integration issues and upholding data quality between Risk and Finance systems. The role also demands user support and the establishment of effective relationships with both internal and external clients, including Finance teams, Partners, and Customers across the region.Both areas may require conducting user training and support across EU offices.Key Responsibilities:Execute day-to-day activities and ad hoc tasks related to finance data updates and corrections.Monitor completed and pending tasks, managing work schedules leading up to the monthly closing, and assist in resolving client queries.Collaborate effectively with team members and other departments.Ensure compliance with quality standards and service excellence.Support and participate in assigned campaigns, initiatives, and internal projects.
Join Point72 as a Finance Summer Intern in Warsaw for 2026, where you'll gain invaluable experience in the finance sector. This internship will provide you with hands-on exposure to financial analysis, investment strategies, and the operational aspects of asset management. Work alongside industry professionals and enhance your skills while contributing to real-world financial projects.
Role Overview Ecovadis is hiring a Senior Associate in Finance based in Warsaw. This role focuses on Artificial Intelligence and Automation within financial operations. The position centers on improving business processes, applying advanced technologies, and supporting rigorous compliance and efficiency across finance functions. What You Will Do Develop and implement innovative financial solutions using AI and automation tools Streamline and optimize financial processes for greater accuracy and efficiency Help maintain strong compliance standards within all finance-related activities Impact This role supports Ecovadis’s global mission to advance sustainability and corporate responsibility through actionable insights and data intelligence.
Contract duration: 9 monthsType: B2B or temporaryWe are seeking a skilled Finance Business Partner/Analyst to bolster our operations in Central Europe. In this pivotal role, you will serve as a trusted advisor, converting financial data into strategic insights that empower decision-making and enhance performance.By collaborating with diverse stakeholders and finance teams, you will challenge conventional practices, deliver business-centric analyses, and uphold financial excellence. This position demands someone who can foster strong relationships, navigate the complexities of our business units, and proactively contribute value through financial expertise.Responsibilities:Actuals: Month-end closing:Analyze monthly function costs, providing actionable insights to finance and business stakeholders.Ensure that accruals and relevant recharges for function costs are accurately reflected in reported results, collaborating with Accounting-to-Reporting teams.Participate in month-end closing procedures.Financial analysis:Deliver timely and insightful financial analyses to support business decisions, assessing performance on a monthly and annual basis.Utilize technology (SAC) to develop SAC stories and fully leverage available reports to meet the needs of various business owners with precision and quality.Take full accountability for variance analysis of function cost reports and provide commentaries to business stakeholders.Master data management:Maintain accurate master data, including cost center structure, delegation of authorities, and headcount reporting.Budgeting and Rolling Forecast processes:Provide timely and reliable budgets and forecasts for Functional Costs.Support business managers and function cost owners in achieving budgetary targets.Engage in strategic business planning by preparing financial budgets and rolling forecasts.Business review process:Compile and prepare insightful commentaries for thorough reporting and analysis of variances.Ensure focus on reliable full-year outlooks and conduct risk/opportunity assessments.Digital capabilities:Contribute to the development and utilization of business intelligence tools, data visualization, and predictive analysis techniques.
Join Lesaffre as a SAP Regional Super Key User for Finance at our Warsaw office. In this pivotal role, you will act as a liaison between the finance department and SAP solutions, ensuring seamless integration and optimization of our financial processes. Your expertise will be vital in enhancing system functionalities and addressing user needs.
SKELAR is a Ukrainian venture builder focused on creating international tech businesses. Together with co-founders, we assemble strong teams to conquer global markets.Currently, SKELAR boasts a portfolio of diverse businesses across various sectors, from EdTech to marketplaces. Our companies consistently rank among the top startups and product companies in Ukraine, achieving high standings in the App Store and developing platforms used by millions. Our ventures have been featured in renowned global media like TechCrunch and Wired.We take pride in our robust team of over 1300 specialists with exceptional expertise and ambitious goals. Our people are our most valuable asset, and we strive to build businesses together with the best talents in the market.Our International Reporting and Tax Compliance Team is seeking a Finance & Reporting Analyst to enhance the financial reporting process for the SKELAR group across various jurisdictions (EU, UK, US, Asia).Joining our team now means:Gaining unique experience in administering international financial infrastructure and managing global financial risks.Acquiring expertise in structuring operations, coordinating audits, and ensuring tax compliance.Participating in cross-functional projects, gaining experience working alongside treasury, corporate, and tax lawyers.Having a real opportunity to influence processes, participating in their transformation and setup from scratch.Making quick decisions and implementing ideas efficiently — minimal bureaucracy in decision-making.Your responsibilities will include:Coordinating financial statement audits: be responsible for the audits of group companies: preparing financial statements, communicating with auditors, and resolving issues arising during the audit.Preparing financial reports: regularly preparing standalone and consolidated financial statements.Ensuring tax compliance:
About the Role Colliers International EMEA is looking for an Accountant to join the Finance and Accounting Department in Warsaw. This position focuses on maintaining accurate financial records and supporting compliance with relevant regulations. Key Responsibilities Manage and update financial records Ensure compliance with accounting standards and legal requirements Support financial reporting processes Collaborate with other departments to provide financial insights What We’re Looking For Strong attention to detail Analytical approach to problem-solving Experience in accounting or finance roles
About the Internship Point72 Asset Management, L.P. is offering a Finance Summer Internship in Warsaw with a focus on Payroll. Interns will work directly with experienced professionals and participate in projects that support core financial operations. What to Expect Hands-on exposure to payroll processes and financial workflows Collaboration with finance team members on business-critical assignments Opportunities to learn about the day-to-day operations that keep a global asset management firm running
Dentons Business Services EMEA serves as the operational backbone of Dentons, a premier global law firm recognized worldwide. We provide essential support to legal teams across Europe, the Middle East, and Africa, ensuring the delivery of exceptional value to our clients.At DBS EMEA, we are committed to innovation, collaboration, and ongoing improvement. Our diverse team specializes in key areas such as finance, IT, HR, and marketing, striving for operational excellence at every level.Role OverviewThe Financial Planning & Analysis (FP&A) Manager is pivotal in steering financial planning, analysis, and strategic decision-making for the European region, encompassing 19 countries. This individual will collaborate closely with senior management to provide insights into financial performance, profitability, budgeting, and forecasting within a professional services context.The ideal candidate possesses robust analytical skills, experience in professional services (especially within Big4 firms or legal environments), and the capability to translate intricate financial data into actionable business strategies.Key ResponsibilitiesFinancial Planning & AnalysisOversee the annual budgeting, forecasting, and long-range planning for the Europe region.Develop and maintain sophisticated financial models to bolster strategic initiatives, pricing decisions, and growth trajectories.Analyze revenue streams, cost drivers, utilization rates, realization, and profitability by country and practice group.Craft presentations for top management and the Europe Board.Performance ReportingGenerate monthly management reports and variance analyses.Offer clear evaluations of financial performance compared to budget and forecasts.Track key performance indicators pertinent to legal operations, including billable hours, leverage, margins, and collections.Process Improvement & SystemsEnhance FP&A processes, tools, and reporting efficiencies.Assist in the advancement of financial systems and reporting tools.Ensure data integrity and uniformity across financial reports.Ad Hoc & Strategic AnalysisConduct scenario and sensitivity analyses related to market conditions and cost structures.Support office expansions and strategic investment evaluations as necessary.
Join ZURU as an Accounts Receivable Manager, where you will oversee and manage the accounts receivable department, ensuring timely collection of payments and maintaining accurate financial records. You will play a pivotal role in improving cash flow and supporting our financial operations across Europe.
SKELAR is a dynamic venture builder that specializes in creating international IT companies, revolutionizing the venture capital landscape. Alongside our co-founders, we assemble exceptional teams to launch and manage tech enterprises that excel in global markets. We are excited to invite applications for the position of Senior Treasury Manager to join our Treasury Team at our Warsaw office. This crucial role encompasses the oversight of global treasury operations, enhancing structural efficiency, implementing innovative payment solutions, fostering relationships with essential financial partners, and mitigating financial risks. The ideal candidate will serve as a subject matter expert, spearheading strategic initiatives and process enhancements within the treasury function while ensuring compliance. We offer comprehensive treasury services to address complexities, delivering exceptional service and competitive advantages for our enterprises.Key Responsibilities:(1) Manage Global Payment Infrastructure— Oversee and enhance payment processing for over 5,000 partners worldwide, ensuring efficiency and cost-effectiveness;— Minimize administrative inefficiencies, cut costs, and guarantee security, timeliness, and regulatory compliance in all transactions;— Cultivate payment relationships with a strategic focus on growth and optimization in the EU, Asia, and Latin America;— Automate treasury processes to boost scalability, accuracy, and operational efficiency;— Investigate and implement innovative payment solutions to diversify and future-proof the company’s financial infrastructure.(2) Develop & Execute Payment Growth Strategies— Craft and implement customized payment strategies to facilitate regional expansion and business scalability;— Lead payment strategies for new initiatives, ensuring optimal operational structuring, financial efficiency, and regulatory compliance;— Identify market opportunities and refine payment flows to drive revenue growth and enhance partner engagement.(3) Strategic Relationships & Cash Management— Establish and nurture partnerships with financial institutions, including top-tier banks and e-money providers;— Assist with operational cash management tasks, such as bank account openings, KYC processes, AML compliance, and handling regulatory inquiries;— Collaborate across departments to align treasury strategies with broader business and regulatory goals.
At Medier, we are more than a marketing agency—we become creative collaborators with our clients. We specialize in crafting effective digital and social media strategies, public relations, influencer partnerships, SEO, programmatic advertising, and customer relationship management. By merging creativity with data-driven insights, we don't just execute campaigns; we achieve measurable results.Our philosophy is straightforward: recruit a diverse and passionate team and cultivate a culture that empowers everyone to excel. Does this resonate with you? If so, we want to hear from you.Medier is a forward-thinking organization in the online entertainment sector, collaborating with a vast network of over 1,000 affiliate partners. To enhance our payment processing capabilities, we are seeking a committed Affiliate Financial Manager to join our Warsaw office.
Join our dynamic team at yit1 as a Junior Transaction Manager, where you will play a crucial role in supporting transaction operations and contributing to strategic decision-making. This entry-level position offers a unique opportunity to develop your skills in transaction management while working alongside experienced professionals in a collaborative environment.
Margo Group connects shoppers and brands across the open internet, using proprietary commerce intelligence and AI-driven insights. Since our start-up days, we have grown into a global technology company focused on digital commerce. Our team values diverse perspectives, continuous innovation, and an inclusive culture where everyone can help shape the future of commerce.
Capco Poland is seeking a Junior Product Manager / Business Analyst based in Poland. This hybrid position blends product management and business analysis, supporting both B2B SaaS and B2C product lines. The role centers on translating technical and compliance requirements into actionable product plans and clear documentation. Role overview This position moves between cybersecurity, data analysis, and direct stakeholder engagement. The Junior Product Manager / Business Analyst acts as a bridge between compliance and product teams, ensuring technical security topics become clear requirements and user stories. Flexibility is important, as projects may shift across different product types and regulatory needs. What you will do Connect technical cybersecurity requirements with product delivery by managing documentation, requirements, and aligning stakeholders. Analyze data from SaaS and consumer products to uncover insights, identify gaps, and suggest prioritization strategies. Translate compliance frameworks (such as NIST, SOC 2, ISO 27001) into detailed product requirements and acceptance criteria. Conduct stakeholder interviews, workshops, and review sessions independently, sharing findings with both technical and executive audiences. Maintain and refine the product backlog, writing user stories and functional specifications for engineering implementation. Develop and manage KPI dashboards and performance reports for senior leadership. Create wireframes and process flows using tools like Lucidchart or similar to visually represent product requirements. Support internationalization by managing translation workflows, ensuring localization compliance, and meeting regional regulatory standards. Facilitate sprint planning and serve as a point of contact between business needs and engineering teams. About Capco Poland Capco Poland operates at the intersection of technology and management consulting. The team focuses on digital transformation for clients in banking, payments, capital markets, wealth, and asset management. Capco helps financial sector organizations address complex challenges and advance their businesses.
CD Projekt Red is seeking a Finance Manager to support Studio Operations in Warsaw. This position centers on financial planning, budgeting, forecasting, and reporting. The Finance Manager will work closely with the finance team to keep financial strategies in line with company goals. Role overview This role focuses on developing and maintaining financial pla…
Join AbbVie as a Business Finance Manager, where you will play a crucial role in managing financial strategies and contributing to our mission of delivering innovative therapies. You will collaborate with cross-functional teams to analyze financial performance, develop budget forecasts, and optimize resource allocation.
SKELAR is a pioneering Ukrainian venture builder dedicated to creating international tech enterprises. Together with our co-founders, we assemble exceptional teams to win in global markets.Currently, SKELAR operates a diverse portfolio of businesses across various sectors, from EdTech to marketplaces. Our companies consistently rank among the top startups and product firms in Ukraine, achieving high standings in the AppStore and developing platforms used by millions worldwide. Our successes have been featured in prominent media outlets such as TechCrunch and Wired.We take pride in our robust team of over 1300 professionals who possess remarkable expertise and ambitious goals. Our people are our greatest asset, and we are committed to building businesses with the top talent available in the market.Our International Reporting and Tax Compliance Team is seeking a Finance & Reporting Manager to enhance the financial reporting processes for the SKELAR group across various jurisdictions (EU, UK, US, Asia).Joining our team now means:Gaining unique experience in managing international financial infrastructure and overseeing global financial risks.Acquiring expertise in structuring operations, coordinating audits, and ensuring tax compliance.Participating in cross-functional projects, collaborating with treasury, corporate, and tax lawyers.Having a real opportunity to influence processes, participating in their transformation and setting them up from scratch.Making quick decisions and executing ideas swiftly — minimal bureaucracy in decision-making.Your responsibilities will include:Coordinating financial statement audits: overseeing audits for group companies, preparing financial statements, liaising with auditors, and resolving issues arising during audits.Preparing financial reports: regularly generating standalone and consolidated financial statements. Communicating with key stakeholders: treasury, external consultants, CPA, C-Level executives.Ensuring tax compliance:
Role overview The Head of Finance for Operational Hubs oversees financial strategy and daily operations across Clifford Chance's global hubs. The position plays a key part in maintaining sound financial management and ensuring compliance, with an emphasis on enabling business growth. Key responsibilities Lead financial operations and planning for several international hubs Collaborate with senior leadership to enhance financial performance Supervise adherence to internal policies and external regulations Contribute to growth initiatives by providing financial analysis and insight Location This role is based in Warsaw.
Delivery Hero SE is hiring a Finance Director based in Warsaw to lead financial operations for its business in Poland. This position plays a central role in shaping financial strategy and ensuring that planning and reporting align with company goals. Role overview The Finance Director will oversee financial planning, analysis, and reporting activities. This includes developing budgets, monitoring performance, and implementing financial controls. The role sits on the leadership team and contributes to strategic decisions that support Delivery Hero’s mission in the Polish market. Key responsibilities Lead financial planning and analysis for Poland Prepare and review financial reports to ensure accuracy and compliance Develop and manage budgets in line with corporate objectives Implement and maintain effective financial controls Support strategic decision-making as part of the leadership team Impact This role supports Delivery Hero’s commitment to customer satisfaction by providing financial guidance that enables innovative delivery solutions.
Dentons Business Services EMEA serves as the operational backbone of Dentons, the world’s largest law firm, and is dedicated to providing exceptional support services to clients throughout Europe, the Middle East, and Africa. As a vital part of Dentons’ global network, our EMEA business services team is instrumental in enhancing efficiency, fostering innovation, and promoting collaboration.At Dentons Business Services EMEA, we pride ourselves on delivering excellence in support to legal professionals through advanced solutions. Our dynamic and diverse team collaborates effectively to offer a comprehensive range of services, including finance, IT, human resources, marketing, and beyond. We are committed to nurturing a culture of continuous improvement and adaptability.Role Overview:The Finance Data Administration Specialist is pivotal in ensuring the quality of data utilized by our Finance Departments. This role entails managing daily workloads and tasks related to financial master data, including clients, matters, and fee earners. The specialist will also support the Finance Data Administration Process Owner and various processes within Revenue Management. The role encompasses two primary areas of responsibility. The first involves the activation, maintenance, and deactivation of fee earners’ accounts, resolving integration issues, and guaranteeing data quality and accuracy between HR/Talent and Finance systems. Additionally, the role aims to enhance results and streamline time recording processes through standardization and automation, as well as managing daily tasks related to missing time reports and timekeeper follow-ups.The second area focuses on maintaining records for clients, matters, and payors across all European offices. This includes resolving integration issues and upholding data quality between Risk and Finance systems. The role also demands user support and the establishment of effective relationships with both internal and external clients, including Finance teams, Partners, and Customers across the region.Both areas may require conducting user training and support across EU offices.Key Responsibilities:Execute day-to-day activities and ad hoc tasks related to finance data updates and corrections.Monitor completed and pending tasks, managing work schedules leading up to the monthly closing, and assist in resolving client queries.Collaborate effectively with team members and other departments.Ensure compliance with quality standards and service excellence.Support and participate in assigned campaigns, initiatives, and internal projects.
Join Point72 as a Finance Summer Intern in Warsaw for 2026, where you'll gain invaluable experience in the finance sector. This internship will provide you with hands-on exposure to financial analysis, investment strategies, and the operational aspects of asset management. Work alongside industry professionals and enhance your skills while contributing to real-world financial projects.
Role Overview Ecovadis is hiring a Senior Associate in Finance based in Warsaw. This role focuses on Artificial Intelligence and Automation within financial operations. The position centers on improving business processes, applying advanced technologies, and supporting rigorous compliance and efficiency across finance functions. What You Will Do Develop and implement innovative financial solutions using AI and automation tools Streamline and optimize financial processes for greater accuracy and efficiency Help maintain strong compliance standards within all finance-related activities Impact This role supports Ecovadis’s global mission to advance sustainability and corporate responsibility through actionable insights and data intelligence.
Contract duration: 9 monthsType: B2B or temporaryWe are seeking a skilled Finance Business Partner/Analyst to bolster our operations in Central Europe. In this pivotal role, you will serve as a trusted advisor, converting financial data into strategic insights that empower decision-making and enhance performance.By collaborating with diverse stakeholders and finance teams, you will challenge conventional practices, deliver business-centric analyses, and uphold financial excellence. This position demands someone who can foster strong relationships, navigate the complexities of our business units, and proactively contribute value through financial expertise.Responsibilities:Actuals: Month-end closing:Analyze monthly function costs, providing actionable insights to finance and business stakeholders.Ensure that accruals and relevant recharges for function costs are accurately reflected in reported results, collaborating with Accounting-to-Reporting teams.Participate in month-end closing procedures.Financial analysis:Deliver timely and insightful financial analyses to support business decisions, assessing performance on a monthly and annual basis.Utilize technology (SAC) to develop SAC stories and fully leverage available reports to meet the needs of various business owners with precision and quality.Take full accountability for variance analysis of function cost reports and provide commentaries to business stakeholders.Master data management:Maintain accurate master data, including cost center structure, delegation of authorities, and headcount reporting.Budgeting and Rolling Forecast processes:Provide timely and reliable budgets and forecasts for Functional Costs.Support business managers and function cost owners in achieving budgetary targets.Engage in strategic business planning by preparing financial budgets and rolling forecasts.Business review process:Compile and prepare insightful commentaries for thorough reporting and analysis of variances.Ensure focus on reliable full-year outlooks and conduct risk/opportunity assessments.Digital capabilities:Contribute to the development and utilization of business intelligence tools, data visualization, and predictive analysis techniques.
Join Lesaffre as a SAP Regional Super Key User for Finance at our Warsaw office. In this pivotal role, you will act as a liaison between the finance department and SAP solutions, ensuring seamless integration and optimization of our financial processes. Your expertise will be vital in enhancing system functionalities and addressing user needs.
SKELAR is a Ukrainian venture builder focused on creating international tech businesses. Together with co-founders, we assemble strong teams to conquer global markets.Currently, SKELAR boasts a portfolio of diverse businesses across various sectors, from EdTech to marketplaces. Our companies consistently rank among the top startups and product companies in Ukraine, achieving high standings in the App Store and developing platforms used by millions. Our ventures have been featured in renowned global media like TechCrunch and Wired.We take pride in our robust team of over 1300 specialists with exceptional expertise and ambitious goals. Our people are our most valuable asset, and we strive to build businesses together with the best talents in the market.Our International Reporting and Tax Compliance Team is seeking a Finance & Reporting Analyst to enhance the financial reporting process for the SKELAR group across various jurisdictions (EU, UK, US, Asia).Joining our team now means:Gaining unique experience in administering international financial infrastructure and managing global financial risks.Acquiring expertise in structuring operations, coordinating audits, and ensuring tax compliance.Participating in cross-functional projects, gaining experience working alongside treasury, corporate, and tax lawyers.Having a real opportunity to influence processes, participating in their transformation and setup from scratch.Making quick decisions and implementing ideas efficiently — minimal bureaucracy in decision-making.Your responsibilities will include:Coordinating financial statement audits: be responsible for the audits of group companies: preparing financial statements, communicating with auditors, and resolving issues arising during the audit.Preparing financial reports: regularly preparing standalone and consolidated financial statements.Ensuring tax compliance:
About the Role Colliers International EMEA is looking for an Accountant to join the Finance and Accounting Department in Warsaw. This position focuses on maintaining accurate financial records and supporting compliance with relevant regulations. Key Responsibilities Manage and update financial records Ensure compliance with accounting standards and legal requirements Support financial reporting processes Collaborate with other departments to provide financial insights What We’re Looking For Strong attention to detail Analytical approach to problem-solving Experience in accounting or finance roles
About the Internship Point72 Asset Management, L.P. is offering a Finance Summer Internship in Warsaw with a focus on Payroll. Interns will work directly with experienced professionals and participate in projects that support core financial operations. What to Expect Hands-on exposure to payroll processes and financial workflows Collaboration with finance team members on business-critical assignments Opportunities to learn about the day-to-day operations that keep a global asset management firm running
Dentons Business Services EMEA serves as the operational backbone of Dentons, a premier global law firm recognized worldwide. We provide essential support to legal teams across Europe, the Middle East, and Africa, ensuring the delivery of exceptional value to our clients.At DBS EMEA, we are committed to innovation, collaboration, and ongoing improvement. Our diverse team specializes in key areas such as finance, IT, HR, and marketing, striving for operational excellence at every level.Role OverviewThe Financial Planning & Analysis (FP&A) Manager is pivotal in steering financial planning, analysis, and strategic decision-making for the European region, encompassing 19 countries. This individual will collaborate closely with senior management to provide insights into financial performance, profitability, budgeting, and forecasting within a professional services context.The ideal candidate possesses robust analytical skills, experience in professional services (especially within Big4 firms or legal environments), and the capability to translate intricate financial data into actionable business strategies.Key ResponsibilitiesFinancial Planning & AnalysisOversee the annual budgeting, forecasting, and long-range planning for the Europe region.Develop and maintain sophisticated financial models to bolster strategic initiatives, pricing decisions, and growth trajectories.Analyze revenue streams, cost drivers, utilization rates, realization, and profitability by country and practice group.Craft presentations for top management and the Europe Board.Performance ReportingGenerate monthly management reports and variance analyses.Offer clear evaluations of financial performance compared to budget and forecasts.Track key performance indicators pertinent to legal operations, including billable hours, leverage, margins, and collections.Process Improvement & SystemsEnhance FP&A processes, tools, and reporting efficiencies.Assist in the advancement of financial systems and reporting tools.Ensure data integrity and uniformity across financial reports.Ad Hoc & Strategic AnalysisConduct scenario and sensitivity analyses related to market conditions and cost structures.Support office expansions and strategic investment evaluations as necessary.
Join ZURU as an Accounts Receivable Manager, where you will oversee and manage the accounts receivable department, ensuring timely collection of payments and maintaining accurate financial records. You will play a pivotal role in improving cash flow and supporting our financial operations across Europe.
SKELAR is a dynamic venture builder that specializes in creating international IT companies, revolutionizing the venture capital landscape. Alongside our co-founders, we assemble exceptional teams to launch and manage tech enterprises that excel in global markets. We are excited to invite applications for the position of Senior Treasury Manager to join our Treasury Team at our Warsaw office. This crucial role encompasses the oversight of global treasury operations, enhancing structural efficiency, implementing innovative payment solutions, fostering relationships with essential financial partners, and mitigating financial risks. The ideal candidate will serve as a subject matter expert, spearheading strategic initiatives and process enhancements within the treasury function while ensuring compliance. We offer comprehensive treasury services to address complexities, delivering exceptional service and competitive advantages for our enterprises.Key Responsibilities:(1) Manage Global Payment Infrastructure— Oversee and enhance payment processing for over 5,000 partners worldwide, ensuring efficiency and cost-effectiveness;— Minimize administrative inefficiencies, cut costs, and guarantee security, timeliness, and regulatory compliance in all transactions;— Cultivate payment relationships with a strategic focus on growth and optimization in the EU, Asia, and Latin America;— Automate treasury processes to boost scalability, accuracy, and operational efficiency;— Investigate and implement innovative payment solutions to diversify and future-proof the company’s financial infrastructure.(2) Develop & Execute Payment Growth Strategies— Craft and implement customized payment strategies to facilitate regional expansion and business scalability;— Lead payment strategies for new initiatives, ensuring optimal operational structuring, financial efficiency, and regulatory compliance;— Identify market opportunities and refine payment flows to drive revenue growth and enhance partner engagement.(3) Strategic Relationships & Cash Management— Establish and nurture partnerships with financial institutions, including top-tier banks and e-money providers;— Assist with operational cash management tasks, such as bank account openings, KYC processes, AML compliance, and handling regulatory inquiries;— Collaborate across departments to align treasury strategies with broader business and regulatory goals.
At Medier, we are more than a marketing agency—we become creative collaborators with our clients. We specialize in crafting effective digital and social media strategies, public relations, influencer partnerships, SEO, programmatic advertising, and customer relationship management. By merging creativity with data-driven insights, we don't just execute campaigns; we achieve measurable results.Our philosophy is straightforward: recruit a diverse and passionate team and cultivate a culture that empowers everyone to excel. Does this resonate with you? If so, we want to hear from you.Medier is a forward-thinking organization in the online entertainment sector, collaborating with a vast network of over 1,000 affiliate partners. To enhance our payment processing capabilities, we are seeking a committed Affiliate Financial Manager to join our Warsaw office.
Join our dynamic team at yit1 as a Junior Transaction Manager, where you will play a crucial role in supporting transaction operations and contributing to strategic decision-making. This entry-level position offers a unique opportunity to develop your skills in transaction management while working alongside experienced professionals in a collaborative environment.
Margo Group connects shoppers and brands across the open internet, using proprietary commerce intelligence and AI-driven insights. Since our start-up days, we have grown into a global technology company focused on digital commerce. Our team values diverse perspectives, continuous innovation, and an inclusive culture where everyone can help shape the future of commerce.
Capco Poland is seeking a Junior Product Manager / Business Analyst based in Poland. This hybrid position blends product management and business analysis, supporting both B2B SaaS and B2C product lines. The role centers on translating technical and compliance requirements into actionable product plans and clear documentation. Role overview This position moves between cybersecurity, data analysis, and direct stakeholder engagement. The Junior Product Manager / Business Analyst acts as a bridge between compliance and product teams, ensuring technical security topics become clear requirements and user stories. Flexibility is important, as projects may shift across different product types and regulatory needs. What you will do Connect technical cybersecurity requirements with product delivery by managing documentation, requirements, and aligning stakeholders. Analyze data from SaaS and consumer products to uncover insights, identify gaps, and suggest prioritization strategies. Translate compliance frameworks (such as NIST, SOC 2, ISO 27001) into detailed product requirements and acceptance criteria. Conduct stakeholder interviews, workshops, and review sessions independently, sharing findings with both technical and executive audiences. Maintain and refine the product backlog, writing user stories and functional specifications for engineering implementation. Develop and manage KPI dashboards and performance reports for senior leadership. Create wireframes and process flows using tools like Lucidchart or similar to visually represent product requirements. Support internationalization by managing translation workflows, ensuring localization compliance, and meeting regional regulatory standards. Facilitate sprint planning and serve as a point of contact between business needs and engineering teams. About Capco Poland Capco Poland operates at the intersection of technology and management consulting. The team focuses on digital transformation for clients in banking, payments, capital markets, wealth, and asset management. Capco helps financial sector organizations address complex challenges and advance their businesses.
Apr 23, 2026
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