We are currently looking for an ambitious, driven and enthusiastic Accountant/Financial Controller with a flair for numbers to join our team at our headquarters in Croatia.
This role will be a key member of the team and a key asset in ensuring financial robustness and compliance in Croatia and reporting to the Group.
The role is a full time fixed term position until October ‘26. This role is based in Split, Croatia, with some flexibility for remote work.
Job Deliverables:
- Compliance with regulatory requirements in Croatia
- On time monthly reporting to the Group finance team
- On time weekly reporting (in season) to the Events team
- On time weekly reporting (in season) to the Fort George team
- Tight controls and procedures in financial matters in Croatia
- Delivery of budgeted profit
Responsibilities:
- Managing all accounting for Croatian Day 8 d.o.o. company, including Billing , A/R, A/P, GL, Cost Accounting, Inventory Accounting, Revenue Recognition, Payroll (including registration/deregistration of employees), FA, petty cash control, preparation of final year end accounts
- Overseeing internal audit process; providing supporting documentation for internal audit processes and point of contact
- Communication with local authorities for all accounting questions
- Verifying invoices, coding and matching invoices within different departments and managing financial transactions
- Preparing accurate and timely monthly financial statements for d.o.o. using Croatian accounting standards
- Preparing budgets and financial forecasts within different sectors of the company and reporting variances (separately and on group level) on a daily, weekly and monthly basis
- Preparing daily and weekly reports for budget owners and other relevant parties based on YTD accounting data (from May-September)
- Working closely with Fort George GM and F&B manager to ensure accurate daily operations run smoothly and ensuring all supporting data from the fort is available daily to create ytd reports for decision making and cost/revenue analysis
- Working closely with budget owners and creating systems to monitor YTD spending and revenue, which are used for strategies and decision making
- Developing quality controlling systems over financial transactions and financial reporting
- Developing business processes and accounting policies to maintain and strengthen internal controls
- Various ad hoc work to assist with the Global finance team
- General office administration