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).
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