Audit coordination and preparing the necessary documentation.
Prepare and oversee statutory financial statements.
Manage monthly VAT reporting, resolve and correct VAT differences.
Handle deferred tax calculations and reporting.
Oversee the fixed assets register for local books.
Prepare and submit Intrastat and other required statistical reports.
Cooperate with auditors and ensure compliance with all relevant regulations.
Work closely with the Group Shared Service Centre team.
Manage Balance Sheet and Cash Flow Reporting / Forecasting.
Requirements
Minimum of 5+ years of relevant accounting experience.
Strong knowledge of local accounting standards and VAT regulations.
Experience with preparing VAT returns, corporate income tax (CIT) declarations, control statements, and financial reports, including accompanying notes.
Experience in warehouse management is a big plus.
Proficiency in Excel at an advanced level is essential.
Ability to tackle tasks and accounting issues hands on and resolve them without the need for supervision.
Education in Accounting or Finance.
Business-level Romanian and English language skills.
Strong communication, interpersonal, and organization skills required.
Benefits
Meal vouchers (35 Ron/day worked)
Medical subscription (Regina Maria)
Bookster services
Flexible working hours,
including home office (minimum 1day/week); one of the weekly office days will imply working from our warehouse in Stefanesti
20 working days vacation + 1 day extra for your birthday
Access to special discounts and promotions on Sezamo platform
Transport allowance
Fair reward
You’ll get a strong fixed salary — no bonus games, no politics. Great work is rewarded clearly and fairly
A team that sticks together
You’ll work with people who move fast, support each other and celebrate wins together.