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Reporting Specialist

Reporting Specialist

Sofia full-time

About us

LC Waikiki Retail Company is a leading fashion retailer with a turnover of $3 billion. LC Waikikis journey started in France in 1988 and is today one of Turkeys leading fashion brands. We trade in around 1300 stores in 58 countries, with our philosophy that Everyone Deserves to Dress Well we are enabling people to enjoy accessible fashion through quality products at affordable prices. There are nearly 3000 people working at LC Waikikis corporate office, more than 57,000 people in Turkey and abroad.

LC Waikiki aims to be the one of the 3 most successful ready-made clothing brands in Europe.

We Crown Our Success with Awards

We were awarded in 5 categories in Capital Journals Retail Innovation Forum and Awards-2019
We are ranked as 1st in The Largest Ready-Made Clothing Retailer of Turkey based on the Number of Stores
1st in The Biggest Retail Companies According to Square Meter Abroad
We ranked 1st in Women Employee Friendly & Women Manager Friendly Companies in Capital Women Friendly Companies Survey 2020.
We received The Most Reputable Brand of the Year Turkey Award by The One Awards in 2020.
We ranked 1st in Most Admired Companies of the Business World survey conducted by Capital Magazine, in the Ready-to-Wear and Retail category in 2019.


Preparation and analysis of all periodical management reports (P&L, Cash Flow, BS/IS, Treasury, LG, and other requested reports) established by the company according to company's accounting and reporting guidelines.
Preparation of annually budget in accordance with the budgeting guidelines set by HQ
Conducting financial data analysis and evaluate financial performance
Controlling compliance of company and local Accounting & Reporting Guidelines
Controlling and analyzing of daily accounting records, their up to date status and accuracy
Monitoring changes in local accounting standards and ensure Group companies are compliant with local GAAP
Analysis and reporting of inventory related processes and advice on improvement areas
Active participation in reconciliation of inventory stock taking process
Analysis and reporting of Treasury costs and set action plans to minimize the costs
Coordinates monthly/quarterly/annually accurate closing in accounting, advices on development areas
Responsible for reflection of financial costs in P&L and reconciliation process with banks
Preparation of bank guarantees for landlords and controlling over bank guarantees issuing process
Calculation and control of accruals and provisions
Internal control of finance set-up and optimization of reporting system
Preparation of ad-hoc reports requested by HQ and Country manager

Requirements and necessary skills

University degree in Accounting/Finance/Economics
2 years' relevant work experience, preferable in foreign companies
Audit experience in one of Big 10 Audit Companies is a big plus
Sound knowledge in local GAAP, IFRS/IAS knowledge is an advantage
Experience to create P&L, BS, Cash Flow, Budget, Forecasts
Strong analytical, modeling, and quantitative skills
Business pro-active and initiative
Decision making, analyzing and problem-solving abilities
Leadership and communication skills, intercultural competence
Well-organized, goal oriented, stress resistance
Able to multitask and work within deadlines
Advanced Excel skill is a must, ERP system knowledge is a big plus
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