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We are looking for a skilled Financial professional to join our CS GROUP – ROMANIA team in Craiova and to take responsibility for the management of our financial and administrative activities. The role is ideal for someone with strong expertise in accounting and taxation in an international environment.
Job Responsibility
Oversee all statutory accounting entries in compliance with local legislation, ensuring adherence to financial regulations, and maintaining accurate financial documentation
Ensures accurate financial documentation and compliance with current laws
Liaise with ANAF, Anti-Fraud, and other regulatory authorities and prepare the necessary statements and files
Evaluate transactions for compliance with accounting standards and internal policies
Interpret financial laws (tax, banking, pensions) and communicate implications to stakeholders
Implement and monitor controls to reduce financial reporting risks and meet evolving business needs
Record bank operations
Prepare and validate P&L, balance sheets, VAT, payroll contributions, SAF-T as well as other financial reports
Reporting and financial control
Regularly analyze and forecast company expenses
Maintain the relation with financial institutions, public or private regarding payments, bank documentation including contracts, letter of guarantees
Prepare the cash forecasts and reports for the group, as well as PL, consolidation reports or other necessary documentation
In charge of closing entries every quarter for the cut-off
In charge every quarter to complete the consolidation package (Black line transfer matching and BFC, lease)
Advise senior leadership on financial and operations-related matters
Collaboration with the Financial Departments at Group level
Collaboration with financial auditors and external consultants
Lead and evaluate the accounting and administrative team, fostering a culture of ownership and accountability
Implement and oversee internal controls to reduce financial reporting risks
Drive audit processes to closure, particularly in the context of ANAF reviews
Support the implementation and customization of Group platforms and tools in his/her field of activity and driving the ongoing financial integration process of the local company
Requirements
Bachelor's degree in Accounting, Finance
+10 years in Accounting and Taxation, preferably in an international environment
Solid background in accounting and fiscal compliance (VAT, corporate tax…)
Ability to adapt and drive change
Experience in managing external relationships (Accounting Auditors, Banks, Fiscal authorities)
Skills in financial analysis and cash management
Ability to work in English is mandatory
Proficient in Excel
Romanian and English business fluency is a must
Highly organized with the ability to manage multiple priorities in a fast-paced environment
Autonomy, proactivity, rigorous and excellent communication skills
Nice to have
Additional Master studies in finance and taxation, including certifications
French will be an asset
What we offer
Competitive salary
Opportunities for professional development
Possibility for flexible working hours and/or teleworking