Local Finance Controller
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Bureau Veritas gradi zaupanje!
Bureau Veritas izkazuje ambicioznost z zmernostjo.
Bureau Veritas pušča sled z odgovornostjo.
Bureau Veritas verjame v moč raznolikosti.
Naš tim prežema zaveza k naši etičnosti, varnosti vseh in notranjemu finančnemu nadzoru.
Vas zanima delo, ki vključuje dinamične izzive tako na terenu kot v pisarni? Ste oseba, ki se odlikuje po komunikativnosti, odprtosti, pozitivnem pristopu in iznajdljivosti? Če je odgovor pritrdilen, vas vabimo, da postanete ključni člen našega podjetja in pripomorete k vzpostavitvi varnega delovnega okolja za vse sodelavce.
K sodelovanju vabimo
Finančnega kontrolorja (m/ž)
Od vas pričakujemo:
- univerzitetno izobrazbo s področja ekonomije, financ, kontrolinga ali poslovodnega računovodstva,
- vsaj 3–5 let delovnih izkušenj na primerljivih finančnih delovnih mestih na področju kontrolinga, poročanja ali operativnih financ,
- dobro poznavanje slovenskih in mednarodnih računovodskih standardov,
- poznavanje lokalnih računovodskih pravil in standardov,
- napredno znanje programa Excel,
- dobro poznavanje ERP sistemov (npr. JD Edwards) ter orodij za poročanje in analitiko (SAP Analytics Cloud, Tableau, Power BI),
- aktivno znanje angleškega jezika,
- zaželene izkušnje dela v mednarodnem okolju,
- vozniški izpit B kategorije,
- organiziranost, natančnost in sposobnost dela v dinamičnem okolju,
- odlične komunikacijske sposobnosti in usmerjenost k timskemu delu.
Vaše odgovornosti bodo:
- Finančno zaključevanje in poročanje
- Sodelovanje z vodji linij ter podpora pri izboljševanju finančne uspešnosti in optimizaciji stroškov,
- priprava finančnih analiz za podporo poslovnim odločitvam,
- spremljanje, analiza in pojasnjevanje mesečnih rezultatov glede na proračun, napovedi in rezultate preteklega leta,
- zagotavljanje pravilnega priznavanja prihodkov in stroškov v skladu z računovodskimi standardi in internimi pravili,
- vodenje procesov priprave proračuna in napovedovanja poslovanja,
- spremljanje obratnega kapitala (terjatve, obveznosti, rezervacije, časovne razmejitve in zaloge nedokončane proizvodnje),
- podpora optimizaciji denarnega toka in obratnega kapitala.
- Upravljanje bilance stanja in poslovnega izida
- odgovornost za točnost in verodostojnost izkaza poslovnega izida ter bilance stanja,
- zagotavljanje točnosti, popolnosti in kakovosti bilančnih postavk,
- izvajanje in pregled mesečnih uskladitev bilance stanja.
- Notranje kontrole in skladnost poslovanja
- sodelovanje z notranjimi in zunanjimi revizorji,
- zagotavljanje skladnosti z internimi finančnimi politikami in postopki,
- krepitev sistema notranjih kontrol,
- uvajanje in izvajanje korporativnih pravil ter finančnih standardov,
- prepoznavanje priložnosti za izboljšave procesov in podpora finančni transformaciji.
- Vodenje ekipe
- vodenje, koordinacija in usmerjanje sodelavcev v finančnem oddelku,
- analiza in izboljševanje administrativnih ter operativnih procesov,
- podpora uvajanju in uporabi finančnih orodij,
- zagotavljanje skladnosti s finančno in davčno zakonodajo.
Ponujamo:
- pogodbo o zaposlitvi za nedoločen čas s 6-mesečnim poskusnim delom,
- raznoliko in dinamično delo, kombinacijo dela pri strankah in v pisarni,
- nagrajevanje, vezano na dosežene rezultate,
- dodatno usposabljanje doma in v tujini.
Delovno mesto je v Ljubljani.
Če se želite pridružiti uspešnemu podjetju, ki gradi svet zaupanja, vas vabimo, da najkasneje do 23. 8. 2026 oddate prijavo s priloženim motivacijskim pismom in življenjepisom v slovenskem in angleškem jeziku prek portala
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English position post
Finance Controller (m/f)
Purpose of the Position / Overall Task:
- Business planning, controlling and reporting to the corporation about the business of the country of responsibility;
- Close cooperation with the management through preparation of finance analyses supporting business decision process
Key Reponsabilities:
Financial Closing & Reporting
- Business partnering with Product Lines managers and organization to improve financial performance and cost control, providing financial insights to support business decisions, driving financial governance across the organization
- Monitor, analyze, and explain monthly financial performance versus budget, forecast, and previous year, identify key business drivers impacting profitability
- Ensure accurate revenue and cost recognition in line with accounting standards and company policies
- Drive budgeting and forecasting processes supporting operational managers
- Monitor working capital components, including receivables, payables, accruals, provisions, and WIP inventory
- Drive timely resolution of outstanding reconciliation items and accounting issues
- Support cash flow analysis and working capital optimization initiatives
P&L ownership and Balance Sheet management
- Responsible for ensuring the accuracy and integrity of both the Profit & Loss and the Balance Sheet
- Ensure accuracy, completeness, and integrity of Balance Sheet accounts.
- Perform and review monthly Balance Sheet reconciliations
Internal Control & Compliance
- Cooperation with internal and external auditors;
- Implementing of corporate rules in countries of responsibility;
- Maintain and strengthen internal control processes
- Ensure compliance with corporate finance policies and procedures
- Identify process improvement opportunities and support finance transformation initiatives
Team management
- Analyze and intervene in internal processes, both administrative and operational, to improve effectiveness and reliability;
- Heading, coordinating and supervising the team in finance department;
- Implementation and support the deployment of financial tools in agreement with the person in charge;
- Assurance of compliance with financial and tax legislation in country of responsibility;
Professional Requirements:
- University graduation or M.Sc. or MBA in Economy (Finance, Controlling, Management Accounting);
- At least 3 years working experience with at least three to five years in comparable financial roles with experience in Controlling, Reporting and Operational Finance;
- In-depth acquaintance with Slovenian and international accounting standards;
- Experience with and knowledge of local accounting rules and standards in countries of responsibilities;
- Proficiency in using Excel as analytical desk-top tool;
- Comprehensive understanding of ERP IT systems (e.g. JD Edwards), Reporting tools (e.g. SAP Analysitcs Cloud, Tableau, PowerBI) and AI;
- Language skills requirements: English – Business fluent,
- Preferably experience to work with international companies;
- Clean driving license (B cat.)
Competencies Profile:
- Organization and punctuality.
- Communication and interpersonal relationship skills
- Social skills and teamwork.
- Capacity to adapt to a complex and dynamic environment, perseverance.
Direct reporting: Finance Central & Eastern Europe Manager
Please apply to the position until 23.08.2028 via this porlal in English and Slovenian language.
Summary
Manage financial reporting, analysis, controls, and team in a dynamic environment.
Job title
Finance Controller
Experience level
3-5 years
Minimum experience
3+ years exp
Industry
finance
Location requirements
Ljubljana, on-site; remote not specified
Salary
Not specified
Management role
Yes
Required skills
Preferred skills
Specializations
Structured locations inferred from the posting.
Ljubljana, Slovenia