Japan Tobacco International and we believe in freedom . We think that the possibilities are limitless when you’re free to choose.
In fact, we’ve spent the last 20 years innovating, creating new and better products for our consumers to choose from . It’s how we’ve grown to be present in 130 countries.
But our business isn’t just business. Our business is our people. Their talent. Their potential. We believe when they’re free to be themselves, grow, travel and develop, amazing things can happen for our business .
That’s why our employees, from around the world, choose to be a part of JTI. It’s why 9 out of 10 would recommend us to a friend .
And why we’ve been awarded Global Top Employer status, six years running .
So when you’re ready to choose a career you’ll love, in a company you’ll love, feel free to #JoinTheIdea.
Learn more : Our offer includes :
Our offer includes :
A competitive pay (together with annual bonus) and an attractive benefits package including medical care, Multisport card, life insurance, pension plan
Ambitious goal to set up new Global Business Center Complex environment of working with multiple stakeholders
On-going development opportunities in a multinational environment that will inspire you to grow professionally and personally
Wide variety of projects and tasks, ambitious goals and independence in achieving them
Flexible working conditions
Modern office in a convenient location
Main areas of responsibility :
Responsibility for budgeting, forecasting and reporting for the HQ entity JTI SA (P&L and Balance sheet items such as assets, liabilities, taxes etc.)
Reviewing the process of current planning cycles and identifying improvement opportunities
Preparation of planning instruction to all entities and markets having transactions with JTI SA and controlling over execution
Consolidation and analysis of the submission from entities and markets
Submission of the consolidated figure into corporate planning system - GPM
Preparation of analytical reports for Corporate FP&A and JTI SA CFO
Preparation and submission 12 months cash flow forecast and bi-weekly liquidity forecast
Performing JTI S.A monthly financial tax validation (such as 3rd party ratio)
Participation in the review of JTI SA closing process performed by Controlling and Reporting group
Playing liaison role with audit team (internal and external) on any demands required
Reviewing and following up of J-SOX implementation and controls related to PF&A team
You as a professional :
Have an University Master Degree (Finance, Accounting, Economy or Business Administration)
5 years of experience within Finance / FP&A or Controlling
Fluency in English (written and spoken)
ACCA / CIMA certificate is an additional asset
Good working knowledge of SAP
Experience on self-contained position
Experience in budgeting P&L forecasting, balance sheet and cashflow
Experience in exposure to top management
Excellent time management and communication skills
Strong personality and team player mindset
High integrity and ability to work with different cultures
Commercial focused mindset and ability to act as a key business partner to senior management
If you decide to participate in this recruitment, the administrator of your data will be JTI Polska sp.z o.o. with headquarters in Stary Gostków.
Your data will be processed only to support the recruitment process in which you participate. Detailed information on the processing of your data and your rights can be found