Financial and Administrative Manager [26116]
Job Summary
- 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 (such as National Institute of Statistics National Bank National Health House) 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 s.o.
- 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. You need also to be hands-on and to book some data entries (banks other complicated data). You need to understand the IT tool to input efficient and risk-free processes.
- 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 in Sopra Steria Group
Qualifications :
- Bachelors degree in Accounting Finance
- Additional Master studies in the finance and taxation including certifications are a plus.
- 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
- Business English (C1) French will be an asset
- Highly organized with the ability to manage multiple priorities in a fast-paced environment
- Autonomy proactivity rigorous and excellent communication skills.
Additional Information :
This job is located in Craiova Romania
If you think you have what it takes for this job please send your CV (in English) by clicking the apply button.
An exciting and dynamic international working environment awaits you!
Inclusive and committed employer our company works every day to combat all forms of discrimination and promote a respectful working environment. Thats why committed to gender diversity and overall inclusivity we encourage all applications and profiles.
Last apply date: 15/07/2026!
Remote Work :
No
Employment Type :
Full-time
About Company
Sopra Steria, a major Tech player in Europe with 52,000* employees in nearly 30 countries, is recognised for its consulting, digital services and solutions. It helps its clients drive their digital transformation and obtain tangible and sustainable benefits. The Group provides end-to- ... View more