REPORTING MANAGER in Bucuresti

Our client is a private organization focused on enhancing mature Oil & Gas fields to make them safer, greener, more productive and more profitable for a longer time. Requirements: Abilities to communicate effectively in English both written and oral; Solid SAP, Excel and Power Point knowledge; Solid Accounting Principles under IFRS, OMF and fiscal requirements knowledge; At least 5 years working experience on a similar position; Ability to work independently, with minimum supervision; Ability to adapt to new situations and to provide reports to the management with monthly, quarterly, half year and yearly frequency and also ad-hoc reporting upon request; Strong business acumen; Ability to work with external counterparties and internal departments through collaboration and teamwork. Responsibilities: Realizing reports with the frequency requested by the management and also ad –hoc reporting upon request; Ensuring compliance with tax reporting requirements, including preparation of fiscal declarations and ensuring they are submitted in due time; Performing the preparation of computation of covenants/financial indicators as resulted from contracts concluded by the Company; Performing the preparation of statutory financial accounts and IFRS Financial accounts at the level of the Company and consolidated level; Providing support in the preparation and direct preparation of documents requested for internal and external audit; Coordinating and supervising the preparation of the monthly trial balance and various type of reporting for management and external parties; Reviewing and approving the purchase orders to be issued by the Company; Business partners with relevant managers within the company in order to provide financial support, information and proper set of assumptions for setting up and following up upon the budgeting process; Providing correlations and analysis between existing company plans and previous existing data to allow correct decision-making process; Continuous looking for cost-reduction opportunities; Cultivating professional and technical knowledge by attending educational workshops, reviewing professional publications, establishing personal networks, and participating in professional societies; Establishing and maintaining financial policies and procedures for the company; Having experience with building and owning complex company financial model that forecasts income statements, balance sheets, and cash flow statements, will be considered as advantage; Contracting outside services for as needed (e.g. tax, audit, financing).

Contact

Datele de contact vor fi vizibile dupa ce veti aplica!

loading...
www.mynextjob.ro folosește cookies. Navigând în continuare, iți exprimi acordul pentru folosirea acestora. Află mai multe Am ințeles!