How will it be like to work as a Chief Accountant with us?
You will play a key role in managing and coordinating the company’s financial and accounting activities, ensuring compliance with applicable legislation and providing accurate and relevant financial information to support management decision-making.
Key Responsibilities
- Coordinate and oversee the company’s entire accounting and tax activities;
- Ensure compliance with applicable regulations and the proper implementation of accounting policies;
- Coordinate the monthly, quarterly, and annual closing processes in RAS;
- Review and record specific accounting transactions (accruals, provisions, depreciation, revaluations, payroll, prepayments, adjustments, reclassifications, corrections, etc.);
- Coordinate reconciliation with group partners;
- Calculate and verify corporate income tax and all other tax obligations of the company;
- Review VAT journals and prepare, sign, and submit all tax returns to the authorities (D300, D390, D394, D100, D101, SAF-T, etc.);
- Coordinate the preparation and submission of reports to authorities (National Bank of Romania, National Institute of Statistics, Intrastat, other competent institutions, as well as industry-specific reports, e.g., ANCOM);
- Ensure compliance with e-factura and e-transport;
- Coordinate the preparation of statutory semi-annual and annual financial statements;
- Actively participate in statutory audits, group internal audits, and maintain relationships with external auditors and tax authorities;
- Be responsible for the annual inventory process of the company’s assets, including organization, coordination, and recording the results in SAP;
- Responsible for archiving all documents from finance department and coordinate the archiving process for the rest of departments;
- Monitor financial flows and identify accounting and tax risks;
- Prepare financial reports and analyses for management;
- Provide support and guidance to colleagues from other departments on financial and accounting matters;
- Lead, coach, and develop the accounting team;
- Participate in process optimization initiatives and implement solutions to improve efficiency.
How do we picture you?
You are an organized, detail-oriented professional with a strong understanding of accounting and tax regulations. You are able to analyze complex information, identify efficient solutions, and coordinate a team. You communicate effectively across departments and serve as a trusted partner to management in financial decision-making.
Requirements
- University degree in Economics, Accounting, or Finance;
- Registered at CECCAR
- Minimum 5 years of experience in a similar role;
- Experience in leading and coordinating an accounting team;
- Strong knowledge of financial accounting and taxation;
- Experience in applying VAT regulations, corporate income tax rules, and tax reporting requirements;
- Advanced knowledge of preparing and interpreting financial statements;
- Experience with ERP systems; experience with SAP Business One is an advantage;
- Good knowledge of MS Office, especially Excel;
- Strong analytical and problem-solving skills;
- High attention to detail and commitment to data accuracy;
- Leadership, organizational, and communication skills.

