JLL empowers you to shape a brighter way.
Our people at JLL and JLL Technologies are shaping the future of real estate for a better world by combining world-class services, advisory, and technology for our clients. We are committed to hiring the best, most talented people and empowering them to thrive, grow meaningful careers, and find a place where they belong. Whether you’ve got deep experience in commercial real estate, skilled trades, or technology, or you’re looking to apply your relevant experience to a new industry, join our team as we help shape a brighter way forward.
The Client Accounting Manager is the financial liaison between the JLL Operational Team and the Client, reporting to the Client Finance Manager responsible for finance service delivery on the account. Responsible for the implementation and execution of accounting processes and programs designed to ensure the appropriate level of accuracy, tracking, and control over the operating expenses and capital expenditures. They are also responsible for all JLL Corporate finance deliverables for the account, budgeting, forecasting, and monthly variance analysis.
Position goals:
Manage a regional finance team and structure to deliver a high-performing finance function across client countries.
Responsible for team management and development.
Responsible for effective financial control processes.
Ensure high-quality financial reporting to the JLL Account Team and the client.
Support the commercial management and analysis of the Account (FP&A, Balance sheet Control, Savings, Change Controls, etc).
Responsibilities:
Strategic Direction & Team Management
Supervision and development of local finance team (either direct or matrix).
Provide clear direction and strategic financial advice to the JLL team working on the account.
Ensure the team is structured to maintain & exceed the client’s financial expectations.
Develop and maintain all relevant policies and procedures with respect to all financial & support services associated with the account.
Co-ordination of team workflows, consolidated reporting, and communication with the client.
Deputise for Client Finance Manager and be a key player in the regional account team.
Relationship Management
Build strong relationships and support the client-side finance teams with regular reporting and dealing with any queries/information requests.
Be proactive in developing and managing client/business unit relationships ensuring that the expected service levels are achieved across the region.
Encourage an environment that supports teamwork, financial transparency, co-operation & performance excellence across the region.
Manage and coach the team to ensure high staff morale, trust, work ethics, clear goals, and performance reviews.
Develop IPMP and succession plans for all roles in the Jones Lang LaSalle regional finance team.
Client FP&A
Understand the Client’s accounting structure and system.
Develop, maintain & deliver in a timely manner, the Client’s approved financial reports across the region.
Ability to quickly analyse process and performance trends and issues; and propose corrective solutions.
Work with the operational team to analyse commercial and contractual aspects of the client account.
Support and coordinate the activities of the finance team across client countries.
Ensure that accurate and timely financial information is provided to all members of the management team.
Production of annual budgets in conjunction with JLL team and client finance team.
Coordinate and track the cost savings initiatives for the region.
JLL Reporting
Ensure data integrity of the balance sheet.
Ensure accurate and timely cash flow completion.
Manage and optimise the efficiency and effectiveness of finance processes.
Ensure robust financial controls are in place including Cash Reconciliations and compliance with SOX reporting.
Support in reporting on profitability of the client account.
Data Management, Policies & Procedures & Audit:
Ensure data integrity of the systems across the region and audit data from time to time.
Ensure that appropriate process and systems controls are in place and maintained to guarantee the integrity of all transactions.
Ensure that all financial accounting and reporting is audit worthy.
Ensure all finance staff are well trained on the financial systems & are effectively able to extract data.
Invoice Payment & Processing
Ensure the management of:
Develop and maintain all necessary guidelines and manuals associated with the accounts payable/receivable process.
Ensure the timely processing of the JLL invoices, including monitoring the accounts receivable.
Candidate profile:
2-3 years’ experience in a similar position (working with international teams and clients).
University degree in Accounting/Finance/Economics or equivalent and Qualified Member of Professional Accounting Association (e.g. ACA, ACCA, CIMA, CPA).
Experience in managing a team of 2-5 people.
Strong leadership skills working with a dynamic team.
Excellent interpersonal and communication skills.
Excellent PC skills, proficient in Office tools, especially Microsoft Outlook, Word & Excel.
We offer:
Great work environment.
Friendly atmosphere.
Wide range of internal trainings according to individual competencies.
Competitive benefit package (incl. Benefit Systems, private healthcare, life insurance).
Location: On-site – Warsaw, POL
If this job description resonates with you, we encourage you to apply even if you don’t meet all of the requirements. We’re interested in getting to know you and what you bring to the table!
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