Caduca pronto AMARIS SERVICES SARL

ADMINISTRATIVE & FINANCIAL MANAGER HF

  • V.I.E.
  • Barcelona (Barcelona)
  • Master, Titre d'ingénieur, Bac +5

Descripción de la oferta

Entreprise:
Amaris is an independent, international Technologies and Management Consulting Group. Created in 2007, Amaris is already established in over 50 countries and supports 500 clients worldwide throughout their projects’ lifecycle. Our expertise covers 5 areas of innovation: Business and Management, IT/IS, Telecom, Engineering and High Technologies, Biotech and Pharma. With 65 offices across the World, the Group offers proximity support to its clients in all their locations and many opportunities of international careers for employees.
In 2017, Amaris aim to reach a turnover of 180 million euros, 3500 employees and the ability to recruit one new employee every 5 hours. We expect to triple our workforce within the next years and reach an international leader position in independent consulting.
Poste et missions:
In the framework of Amaris’s growth, we are looking for a new talent in our Finance team. As an Administrative & Financial Manager, you will be working closely with the Business
- Operational Director and Business Managers
- as well as your counterparts in Controlling, Treasury, Accounting, Tax and Legal departments.
Your Role:
Co-ordinate the Controlling, Treasury, Accounting, Tax and Legal departments in order to support the growth, manage the financial and fiscal risks and provide the Directors with tools to monitor and steer their companies. You also will have to ensure the Group compliance and supervise project deployment within your entities.
Controlling
Participate in the financial controlling process: periodically establish reportings, optimizing the activity analysis (monitoring and management tools) as well as the budget processes.
Supervise the production of the monthly financial statements (Balance Sheet and P&L) and analyze the gaps between the Forecast and the P&L in order to suggest corrective measures.
Improve and optimize the Group’s internal control.
Fiscal and Legal
Supervise the yearly closings.
Manage the fiscal obligations and identify potential local tax incentives.
Corporate Law: Legal follow-up of assemblies and councils, changes in the structure of the company (PoAs, mergers…) and contentious/recovery proceedings.
Treasury
Supervise the treasury management and the need for working capital requirement in the framework of the Group cash pooling strategy.
Ensure the invoicing and recovery processes for your entities.
Update on a regular basis the Cash Forecast of the company in order to communicate it to the Group.
Ensure the relationship with local banks and other financial institutions.
Accounting
Ensuring the accuracy of the annual financial statements (balance sheet, income statement, income tax return).ì
Be in charge of the process optimization and ensure the good application of the Group rules and procedures.
This description takes into account the major responsibilities and is not restrictive.
Profil:
You are….
Fluent in English (French is a plus).
Graduated with a Master in Corporate Finance.
Ideally, you have at least one year  experience in a similar position or in financial controlling and audit.
You want of evolve in a dynamic & fast growing company.

Hacer que su futuro sea todo un éxito.
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