Finance Manager (m/f/d) at Variosystems Inc
Gruiu, , Romania -
Full Time


Start Date

Immediate

Expiry Date

19 Aug, 26

Salary

10000.0

Posted On

21 May, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Accounting, Financial Reporting, Budgeting, Liquidity Planning, SAP, Tax Regulations, Financial Analysis, Team Leadership, Process Optimization, Internal Controls, Excel, English Proficiency

Industry

Electrical Equipment Manufacturing

Description
Company Description For over 30 years, we have been delivering advanced electronic solutions and constantly exceeding ourselves. As a dedicated team, we are a reliable and sustainable partner worldwide. What we promise our customers, we live within our company. Become part of our success story and grow with us! As a global partner for complete electronic solutions, more than 2,800 employees in 8 countries work daily to ensure that our customers worldwide benefit from our Varioexperience. Job Description We are currently looking for a Finance Manager (m/f/d) for our location in Gruiu, Ilfov, Romania. Location: Snagov - Gruiu, Romania (plan to move in a new location/facility in Ploiesti, in Q4, 2027) Employment type: onsite Department: Finance Purpose: The position holds overall responsibility for Finance, Planning & Treasury at one or more locations within the Group. It ensures proper accounting, timely financial reporting and effective planning. Key tasks include planning, CC Accounting, process optimization and strengthening internal controls, with a focus on digitalization. Close collaboration with internal stakeholders and external partners is essential. The role contributes significantly to the financial management and ongoing development of the company. Main responsabilities Financial Management & Accounting: Responsibility for accurate financial accounting, including the preparation of monthly, quarterly and annual financial statements in accordance with applicable accounting standards. Performs monthly, quarterly and annual closing processes, ensuring the accuracy of financial statements (tax reports, ensuring compliance, submitting periodic declarations, monitoring legislative changes, maintaining proper documentation). Controlling & Financial Analysis: Preparation and evaluation of financial analyses, reports and key performance indicators to support management in decision-making. Monitoring of budgets, CC Accounting, project cost controlling and variance analyses. Planning & Forecasting: Coordination and execution of the budgeting, liquidity planning and CC Accounting to ensure reliable financial projections for the company. Team Leadership & Development: Building, leading and developing the local Finance & Planning team, ensuring efficient processes, collaboration and professional development within the department. Process Optimization & Compliance: Continuous improvement of finance-related processes, internal controls (ICS) and structures, with a focus on efficiency and digitalization, while ensuring compliance with legal and corporate requirements. Qualifications Education and skills: Bachelor's degree in Finance, Accounting or Economics​ Proven track record in a similar position​ Experience with SAP systems Knowledge of financial statement preparation Experience in financial planning, rolling forecasting and other analysis Solid understanding of local tax regulations (VAT, income tax) Experience in MS Office (especially Excel) English – Intermediate - Advanced level Proactive, structured and solution-oriented working style with a hands-on mentality Additional Information What we offer: Opportunities for growth: continuous learning and development are our priority Training and development opportunities Collaboration with an international team dedicated to customer success and operational excellence Join us and lead a dynamic production organization where innovation, collaboration and operational excellence drive success. Compensation: RON 5000 - RON 10000 - monthly
Responsibilities
The Finance Manager is responsible for overall financial management, accounting, and treasury operations across one or more locations. Key duties include preparing financial statements, managing budgets, and leading the local finance team to optimize processes and ensure compliance.
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