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Local Finance Controller (Ljubljana, Other/Not Applicable, SI) @ Bureau Veritas UK

Ljubljana, Other/Not Applicable, SIOnsiteFull-time
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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 __________________ 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.

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