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Senior

Senior Financial Reporting Specialist

GSK · Poznan, Poland · Hybrid

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PayPLN 128k to 213k year
LevelSenior
Work modeHybrid
LanguageEnglish is enough
VisaNot stated
Asks forSOX
PostedSep 18, 2026
Found by usOct 2, 2026
Last checkedOct 2, 2026

Quick look

Manage complex licensing and royalty accounting, month end close, reconciliations, SOX compliance and stakeholder reporting for product portfolios.

Experienced, 5+ yearsUS GAAP or SOX experience

From the posting

We are looking for an experienced Senior Financial Reporting Specialist – Global Alliances & Licensing to join the GSK Finance Hub – Europe . This role offers visible impact, accelerated learning and the opportunity to deepen your financial reporting and business partnering skills while contributing to GSK’s mission of uniting science, technology and talent to get ahead of disease together. You will report to the Financial Reporting Team Leader – Global Alliances & Licensing and work closely with stakeholders at all levels, from analysts to senior management, further building both your financial reporting and business partnering capabilities. The role is embedded in the wider GSK Corporate Finance function, with opportunities to collaborate across the organisation and take an active role in continuous improvement, digital initiatives and team-wide projects. The successful candidate will develop financial reporting and business partnering skills with stakeholders of varying seniority across Finance and other functions, including C&C, R&D, Legal, Supply Chain, GSK Global Treasury, Trading Partner Finance & Operations and Tax/Transfer Pricing . Key Responsibilities: Contract and Royalty Management Manage your own portfolio of complex licensing agreements. Prepare summaries of royalty contracts and payment packs and deputize for the Team Leader when required. Controls, Compliance and Audit Ensure compliance with contractual financial reporting requirements to third parties and with internal SOX controls. Act as key contact for internal and external audits. Month-End, Forecasting and Cash Flow Lead month-end / period-end processes: analyse entries, prepare and review journals (including monthly royalty accruals), perform balance sheet reconciliations and commentary, and fulfil associated SOX responsibilities, ensuring a timely close. Prepare annual budget royalty rates, royalty income, royalty expenses and trade payables for your product portfolio. Perform cash flow reporting and analysis. Analyse actuals versus plan and prepare concise, assumption-driven variance explanations. Support critical month-end reporting processes and ensure timely, accurate delivery of financial reports.

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