Resume from April 26, 2024 PRO

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Leading specialist in IFRS, auditor, accountant, 60 000 UAH

Employment:
Full-time, part-time.
City:
Kyiv

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Work experience

Accountant Expert IFRS

from 12.2018 to 02.2021 (2 years 2 months)
Auditing Company «RSM Ukraine», Київ (Consulting / Audit)

•Audit of non-profit organizations funded by USAID, SIDA, etc.
•Comprehensive verification of the reliability of the reporting of profitable organizations within the framework of the statutory audit.
•Conducting an audit in accordance with International Standards, quality control, audit, review, other assurance and related services, IAS, IFRS tax legislation;
•Audit areas of financial, management and tax accounting;
•Checking financial statements and tax returns;
•Analysis of financial and economic activities, calculation of financial indicators of the company;
•Preparation of Audit reports based on the results of the audit and preparation of the Report of an independent practitioner on the basis of the results of other related services;
•Development of recommendations for the elimination of identified violations identified as a result of the audit; writing letters to management, reports;
•Transformation of financial statements in accordance with the requirements of IFRS (IAS, IFRS);
•Drawing up the consolidated financial statements of the group of companies.
•Formation of accounting policies in accordance with IFRS;
•Preparation of consolidated financial statements (Statement of Financial Position; Statement of Profit and Loss and Other Comprehensive Income; Statement of Cash Flows; Statement of Changes in Equity) in accordance with IFRS, IFRS of the group of companies;
•Adjustments of mutual settlements between the companies of the group in accordance with IFRS (IAS, IFRS);
•Certificate of the company's activities; verification on behalf of the parent company of the activities of the branches.

Auditor

from 03.2018 to 12.2019 (1 year 9 months)
Financial company Asset Management Company «Valprim», Київ (Real Estate and Development)

• Conducting internal audits of over 40 companies. Conducting audits, writing reports on the results of audits, performing special tasks. Registration of test results.
•Assessment of the internal control system, the reliability of the information used and reporting. Conducting an internal audit of the activities of the holding companies.
•Audit of the company's business processes (sales, purchases, work with debtors, preservation of stocks and fixed assets, production, work with banks, budget planning, etc.);
•Evaluation of the effectiveness of the Company's internal control system, development and setting of internal controls for business processes;
•Conducting official investigations on behalf of the management;
•Participation in investment analysis and project management, from which projects for the acquisition of companies have been implemented.
•Carrying out a financial due diligence assessment, determination of key indicators of the company's financial condition and their analysis in order to assess the prospects for acquiring a business and its subsequent development.
•Tax Due Diligence (Tax Due Diligence) analysis of all tax aspects of a business, including an assessment of the current tax burden, main tax charges on accounts and relationships with tax authorities.
•Ensuring the organization of accounting and reporting at the enterprise, the formation and timely submission of complete and reliable accounting information on the activities of the enterprise, its property status, income and expenses.
•Audit of all areas of financial, management and tax accounting;
•Financial control of certain risky transactions;
•Analysis of financial and economic activities, calculation of financial indicators of the company;
•Checking financial statements and tax returns. Writing recommendations for correcting errors in accounting and tax reporting;
•Conducting an inventory; Participation in the inventory, checking the quality of its execution and evaluating the results;
•Verification of compliance with existing regulations and procedures and targeted use of funds;
•Analysis of business processes, methods and assessment of business risks, development of recommendations for their minimization;
•Implementation of current control over financial and economic activities;
•Preparation of reports on performed inspections, consulting services and issued standard indicators within the framework of internal control standards;
•Control of the timeliness of closing the identified risks and comments of the auditors.
•Assistance to employees of departments of the enterprise on accounting, control, reporting.
•Control over the implementation of previous checks.

Deputy Chief Financial Officer for IFRS

from 11.2017 to 03.2018 (4 months)
Limited liability company «LITELS GROUP», Київ (Retail)

•Transformation of financial statements in accordance with IFRS (reconciliation of intra-group turnovers, adjustments for revenue, fixed assets, accrual of reserves).
•Participation in investment analysis and project management, from which projects for the acquisition of companies have been implemented.
•Carrying out a financial due diligence assessment, determination of key indicators of the company's financial condition and their analysis in order to assess the prospects for acquiring a business and its subsequent development.
•Tax Due Diligence (Tax Due Diligence) analysis of all tax aspects of a business, including an assessment of the current tax burden, main tax charges on accounts and relationships with tax authorities.
•Ensuring the organization of accounting and reporting at the enterprise, the formation and timely submission of complete and reliable accounting information on the activities of the enterprise, its property status, income and expenses.
•Formation and control over the implementation of the financial plan, generation of P&L, Cash Flow and Balance reports, company finance management;
•Management of the company's cash resources, ensuring timely payments
•Carrying out a financial due diligence assessment, determination of key indicators of the company's financial condition and their analysis to assess the prospects for acquiring a business and its subsequent development.
•Control over the observance of financial discipline, fulfillment of contractual obligations and receipt of income.
•Organization of analysis of all types of expenses / income of the enterprise with the aim of further optimization.
Drawing up management reports in the plan-fact format based on the results of the Group's activities;
•Management of financial resources of the enterprise to ensure the flow of operating and investment activities;
•Control and optimization of management and accounting processes;
• Control over the implementation of the budget, identification and analysis of deviations from the planned indicators, prompt adjustment of the budget; control over the efficient use and targeted use of own and borrowed funds;
•Factor analysis of the main indicators of the enterprise (revenue, cost, profit, etc.);
•Conducting an economic analysis of the economic and financial activities of the enterprise according to accounting and reporting data in order to identify on-farm reserves, eliminate losses and non-productive costs.
•Conducting an audit of the financial and economic condition of the enterprise in order to buy / sell a business;
•Work with accounts receivable (analysis of the structure, making proposals for its optimization);
•Payments of salaries to company employees; Formation of accounts;
•Carrying out cash and banking operations in management accounting;
•Planning and control of cash flows. Search and identification of funding sources.

Auditor

from 04.2017 to 10.2017 (6 months)
Auditing company LLC "BDO", Дніпро (Consulting / Audit)

•Planning and conducting an audit in accordance with International Standards for Quality Control, Auditing, Review, Other Assurance and Related Services, IAS, IFRS or ISP, tax legislation;
•Audit of all areas of financial, management and tax accounting;
•Checking financial statements and tax returns;
•Analysis of financial and economic activities, calculation of financial indicators of the company;
•Drafting of Audit reports based on the results of the audit and preparation of the Independent Practice of a specialist based on the results of other related services;
•Development of recommendations for the elimination of identified violations identified as a result of the audit; writing letters to the management;
•Transformation of financial statements prepared in accordance with RAS in financial statements in accordance with the requirements of IFRS (IAS, IFRS);
•Formation of accounting policies in accordance with RAS and IFRS;
•Preparation of consolidated financial statements (Statement of Financial Position; Statement of Profit and Loss and Other Comprehensive Income; Statement of Cash Flows; Statement of Changes in Equity) according to IFRS (IFRS, IFRS) of the group of companies.

Auditor assistant

from 12.2015 to 07.2016 (7 months)
Auditing firm Kreston International, Київ (Consulting / Audit)

•Planning and conducting an audit in accordance with International Standards for Quality Control, Auditing, Review, Other Assurance and Related Services, IAS, IFRS, tax legislation;
•Audit of all areas of financial, management and tax accounting;
•Checking financial statements and tax returns;
•Analysis of financial and economic activities, calculation of financial indicators of the company;
•Preparation of Audit reports based on the results of the audit and preparation of the Report of an independent practitioner on the basis of the results of other related services;
•Development of recommendations for the elimination of identified violations identified as a result of the audit; writing letters to the management;
•Transformation of financial statements prepared in accordance with RAS into statements in accordance with the requirements of IFRS (IAS, IFRS);
•Formation of accounting policies in accordance IFRS;
•Preparation of consolidated financial statements (Statement of Financial Position; Statement of Profit and Loss and Other Comprehensive Income; Statement of Cash Flows; Statement of Changes in Equity) in accordance with IAS, IFRS of the group of companies;
•Adjustments for mutual settlements between the companies of the group in accordance with IFRS (IAS, IFRS)

Accountant-economist

from 12.2009 to 06.2014 (4 years 6 months)
TLimited liability company"Keroveil Trading Ukraine", Київ (Finance, banking, and insurance)

•Maintaining accounting and tax accounting of non-current assets, stocks, cash, settlements and other assets, equity and liabilities, income and expenses in full in accordance with the PSBO and GCC.
•Formation of accounting policies, ensuring the financial stability of the enterprise.
•Control over the correctness of accounting documents and the reflection of transactions on the accounts of accounting in 1C "Accounting" 8.2 .; 8.3.
•Accounting and control over the availability of primary documentation, control over the observance of the procedure for registration of primary documentation;
•Conducting reconciliations with counterparties, tracking in the accounting of real debt; Accounting for contracts with counterparties;
•Work in the "Client of the Bank" program, drawing up account statements;
•Entering payment orders into the 1C "Accounting" program and transferring them to the bank; formation of payment orders using the "Client-Bank" system, 1C: "Accounting"; sending payment orders to banks and monitoring their states;
•Conducting accounting and tax accounting of business transactions and reflection in accounting and tax accounting Conducting an inventory of fixed assets, inventory and cash, the formation of protocols for the results of the inventory;
•Maintaining personnel records, calculating and paying salaries to employees, monitoring the spending of the payroll; Maintaining personnel records; Expense reports.
•Preparation of financial statements, tax returns and reports to the pension fund; preparation of statistical reports, and submission of other types of periodic reporting submission of reports on funds. Reporting to senior management. Other accounting tasks.
•Conducting an economic analysis of the economic and financial activities of the enterprise according to accounting and reporting data in order to identify on-farm reserves, eliminate losses and non-productive costs.
•Interaction with banks on issues of placing free funds on bank deposits (certificates), control over accounting transactions with deposit and credit agreements, securities.
•Assistance to employees of departments of the enterprise on accounting, control, reporting.
Result of work:
•Successful experience in passing a desk audit;
•Successful experience of managing several legal entities at the same time, which are on different tax systems and operate independently;
•Successful experience in passing audits.

Accountant-economist

from 03.2008 to 11.2009 (1 year 8 months)
Limited liability company"Rentservice", Київ (Business services)

•Keeping records of non-current assets, stocks, cash, settlements and other assets, equity and liabilities, income and expenses;
•Preparation of primary documentation, accounting of business transactions; reflection of operations in 1C "Accounting" version 8.2 .; 7.7.
•Communication with counterparties on missing documents: acts, receipts, tax invoices, service reports, other primary documentation; clarification of dates and amounts; upon requests and approvals for the adjustment of tax invoices;
•Work in the "Client of the Bank" program, drawing up account statements;
•Entering payment orders into the 1C "Accounting" program;
•Formation of payment orders using the "Client-Bank" system, 1C: "Accounting"; sending payment orders to banks and monitoring their states;
•Maintenance of accounting and tax accounting of business transactions and reflection in accounting and tax accounting; accounting of contracts with counterparties; Formation of acts of reconciliation for clients and taxes.
•Carrying out an inventory of fixed assets, inventory and cash, the formation of protocols for the results of the inventory;
•Calculation and payment of wages, calculation of taxes and fees; Execution and registration of orders for a business trip;
•Preparation of financial statements, tax returns and reports to the pension fund; preparation of statistical reports, and submission of other types of periodic reporting submission of reports on funds.
Result of work:
•Successful experience of passing a desk audit;
• Successful experience of managing several legal entities at the same time, which are on different tax systems and operate independently;
•Successful experience in passing audits.

Economist

from 01.2007 to 06.2007 (5 months)
Raiffeisen Bank Aval OJSC, Київ (Finance, banking, and insurance)

•Acceptance of payments from bank clients;
•Sending and payment of money transfers (domestic, international);
•Opening and maintenance of current accounts (including card, deposit, credit)
•Attracting customers for additional services.

Education

Kyiv National named after Taras Shevchenko

Faculty of Economics, Київ
Higher, from 2003 to 2009 (5 years 9 months)

•Master of Economic Sciences specialty "Business Economics", Specialization "Accounting and Audit" Faculty of Economics, Accounting, Analysis and Audit, Accounting, Analysis and Audit
•Topic of master's thesis: "Methodology, the organization of financial accounting, economic analysis and audit of fixed assets";
•Topic of bachelor's thesis: "Accounting and analysis of bank settlement operations OJSC " Raiffeisen Bank Aval"".

Additional education and certificates

Interregional Academy of Personnel Management

Course "Manager of financial support activities". Certificate 2021

International Alliance of Professional Business Elites - IAPBE

Certified Chief Accountant for IFRS (IAAPE) Year of completion 2021

Audit Chamber of Ukraine

Course International Standards for Quality Control, Auditing, Review, Other Assurance and Related Services. Year of completion

Knowledge and skills

Business audit of an enterprise: financial audit, commercial Carrying out a financial analysis of the company's activities Preparation of financial and management reports Preparation of Audit Reports based on the results of the audit Preparation of consolidated financial statements Preparation of accounting policies in accordance IFRS Optimization of taxation. Budgeting control. Implementation of management reporting in 1C Comprehensive audit of the reporting of profitable organizations Transformation of financial statements IFRS Управління активами підприємства. Бізнес аудит підприємства. Управління рухом фінансових ресурсів підприємства Організація управлінського, фінансового, податкового обліку Проведення фінансового аналізу діяльності підприємства. Організація та проведення аудиту відповідно до МСА та МСФЗ Складання фінансової звітності відповідно до МСФЗ Впровадження Міжнародних стандартів бухгалтерського обліку Проведення процедур Due Diligence Знання податкового, цивільного, господарського законодавства Складання Аудиторських звітів за результатами аудиту Підготовка консолідованої фінансової звітності групи Комплексна перевірка достовірності звітності прибуткових ТОВ Аудит фінансового, управлінського та податкового обліку Податковий Due Diligence (Tax Due Diligence) аналіз Знание налогового и гражданского, хоз. законодательства Контроль ведения деятельности предприятия Проведение внутренних аудитов Контроль правильности ведения бухгалтерского учета в компании Повышение эффективности бизнес-процессов компании Управление финансовыми потоками предприятия Организация работы финансово-бухгалтерской службы компании Анализ ключевых финансовых показателей, контроль Ведение управленческого учета нескольких юридических лиц и ФОП Внедрение управленческой отчетности в 1С "УТП" Контроль подготовки и сдачи бухгалтерской, налоговой отчетности Контроль за соблюдением правил оформления первичных документов Управление рисками: анализ и снижение финансовых рисков Финансовое планирование (стратегическое и ежемесячное) Составление Аудиторского отчетов по результатам аудита Подготовка консолидированной финансовой отчетности МСФО Проведение Due Diligence Бюджетирование контроль подготовки бюджета и отслеживание его вы Проведение план -факторного анализа деятельности компании Аудит діяльності підприємства: фінансовий аудит. Налагодження ефективної роботи фінансово-бухгалтерської служби Трансформація звітності за МСФЗ. Консолідація фінансової звітності групи компаній Формування звітів P&L CashFlow і Balance Комплексна перевірка, аудит діяльності підприємства Міжнародні стандарти фінансової звітності МСФЗ (IAS)

Language proficiencies

  • English — above average
  • German — advanced
  • Russian — fluent
  • Ukrainian — fluent

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