Eurasia Accounting and Tax Manager
Job Description
Company:  “STADA Kazakhstan” LLP
Department:  Finance & Accounting Division
Job Location (Long): 

Kazakhstan

Country / Region:  Kazakhstan
Job level:  Professionals

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Information at a Glance

Want to be at the top? Step into the future with STADA Eurasia!

Do you want to be among those who are #CaringForPeoplesHealth around the world?

 At STADA Eurasia, your journey starts with purpose! We work guided by our shared values: Integrity, Agility, Entrepreneurship, and One STADA.
Here, we dare to dream, and even more importantly, we act on those dreams. We don’t just follow trends - we set them!

We believe in individual initiative, empowered by the support of a strong, collaborative team. We choose growth over comfort and progress over the status quo.

STADA Eurasia means:

12 countries
500+ talented professionals
Recognized as a Top Employer 2025 in Kazakhstan — and that’s just the beginning!

 


Eurasia Accounting and Tax Manager   

Almaty | Kazakhstan (KZ) | Full-time | Permanent | Finance | Professionals 

 

 

 

Main Responsibilities

Financial Reporting and Reporting Processes in Belarus, Uzbekistan, Azerbaijan, Kyrgyzstan, Armenia, Moldova, Georgia:

- Preparation of management and financial reporting in accordance with IFRS.

- Control of correct reflection of operations and period closing.

- Preparation of reporting packages.

- Analysis of P&L, BS, CF.

- Automation of reporting processes.

- Control of local accountants’ work.

- Transformation of local reporting.

Accounting:

- Control of accounting under national standards.

- Methodological support.

- Control of operations.

- Inventory counts.

- Document workflow.

Taxation:

- Control of tax calculation and payment.

- Monitoring of legislation.

- Tax declarations.

- Tax audits.

- Tax risk management.

 

Audit and Internal Control:

- Coordination of external audit.

- Execution of internal procedures.

- Building and maintaining internal control systems for key processes (sales, procurement, warehouse, treasury).

- Ensuring compliance with corporate policies (incl. anti-corruption, gifts & entertainment, conflict of interest).

- Assessment and prevention of financial risks; participation in incident investigations.

Analytics and Planning:

- Business activity analysis.

- Cash flow planning and forecasting.

- Preparation of analytical reports.

Treasury and Cash Flow Management:

- Forms and monitors the payment calendar, manages liquidity and FX risks.

- Ensures accuracy of banking operations, compliance with credit terms and limits.

- Controls timely settlements with suppliers and supports receivables collection in collaboration with commercial teams.

Qualification Requirements:

- Higher education in economics/finance.

- 5+ years of experience in finance/accounting/tax.

- Knowledge of IFRS and national standards of the region.

- Experience interacting with auditors and tax authorities.

- Knowledge of ERP (SAP/1C).

- English — Upper-Intermediate.

 

If you’re ready to grow, to innovate, and to work alongside people who inspire - welcome to STADA Eurasia. Your next chapter begins here.

We look forward to receiving your application via our career portal. At jobs.stada.com you will also find numerous other job opportunities, as we are always looking for motivated talents who can strengthen our team with their expertise and personality.