FINANCIAL CONTROLLER - TÜRKİYE

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Date: 12 Jun 2024

Location: İSTANBUL, Other/Not Applicable, TR

Company: Bureau Veritas

Your career is about more than building a resume — it’s a chance to Leave Your Mark.

As we continue to develop Finance activities, we are delighted to offer a unique opportunity to join our organization as a Financial Controller  in Finance & Accounting Department for TAG (Türkiye, Azerbaijan and Georgia) regions. . The position is located within our Istanbul in Türkiye:

 

Roles & Responsibilities

 

  • Manages accounting and finance works according to the local laws and group procedures.
  • Establish an efficient control system for all the accounting issues (Trial Balance, Accounting transactions, invoicing, payments, collections, administrative jobs etc.) and takes necessary actions for the corrections before the month end closing.
  • Ensuring effective cash flow management.
  • Takes actions for the timely payment of all legal payments without any late payment penalty (Tax payments etc.).
  • Controls all legal reports such as VAT Return, Income Tax Return, and Stamp Duty and prepares Prepaid Tax and Corporate Tax Return and all other legal documents and takes action to prevent doing any mistake.
  • Ensure that all finances are properly administered and monitored, including credit control.
  • Active participation in the preparation of the annual budget.
  • Prepares quarterly forecasts with the support of CE and Department Manager.
  • Statutory returns / registrations in respect to Administration and renewals of all offices.
  • Trains employees reporting to him/her by following-up laws and procedures related to accounting issues and group strategies.
  • Prepares and controls monthly/quarterly/annual reports demanded by the local management, regional management and corporate.
  • Prepares annual budget and forecasts in cooperation with related level of Managers.
  • Ensures management of team (performance, motivation...) and implementation of HR processes (recruitment, reward, talents...). Ensures implementation of HSE policies and processes.
  • Develops good working relationships with professionals such as Bankers, Auditors or statutory organizations for the benefit of the firm.
  • Develop and execute financial strategies to support the company's short-term and long-term goals, in alignment with the overall business objectives.
  • Lead financial planning, budgeting, forecasting, and analysis processes to provide insightful recommendations to senior management and stakeholders.
  • Ensure compliance with all financial regulations, accounting standards, and reporting requirements in the TIC industry, across various jurisdictions.
  • Oversee the preparation and presentation of accurate and timely financial statements, reports, and analyses for internal and external stakeholders.
  • Manage treasury functions, including cash flow management, working capital optimization, and risk management strategies to enhance financial stability and liquidity.
  • Play a key role in cash collection.
  • Collaborate closely with other departments, including Operations, Sales, HR and Legal, to drive efficiency, mitigate risks, and maximize profitability.
  • Lead and mentor a high-performing finance team, fostering a culture of excellence, accountability, and continuous improvement.
  • Evaluate and implement financial systems, tools, and processes to streamline operations, enhance productivity, and support scalable growth.
  • Monitor key performance indicators (KPI’s) and financial metrics to assess business performance, identify trends, and proactively address challenges and opportunities.
  • Provide strategic financial guidance and support for mergers, acquisitions, joint ventures, and other strategic initiatives to drive value creation and integration.
  • Provide financial insights and analysis to support commercial decision-making, pricing strategies, contract negotiations, and market expansion initiatives.
  • Drive financial performance optimization through commercial initiatives, revenue enhancement opportunities, and cost management strategies.
  • Shall perform other tasks and duties related to his position as assigned by his first line Manager.
  • Complies with / implements Bureau Veritas Corporate standards and BV 3 Absolutes (Safety, Ethics and Financial Control).

 

Minimum Requirements

 

  • Bachelor’s degree / Master’s degree in Finance, Economics, Business Administration etc.
  • Minimum 10 years’ experience in Accounting and Reporting.
  • Proven analytical skills.
  • With a solid work experience in International Finance reporting.
  • Min. 5 years of experience as a Manager.
  • Experience in Finance and Accounting ERP tools (SAP, Oracle etc.)
  • Expert in macro level Excel, Word and Powerpoint.
  • Good command of English.
  • International company experience is preferable.

 

Shaping A World of Trust

To be successful in this role, the right candidate will be able to demonstrate their ability to comply with our Absolutes (Safety, Ethics and Financial Control), and also Our Values (Trusted, Responsible, Ambitious & Humble, Open & Inclusive).

 

WHAT WE VALUE AT BV

We serve as guardians of integrity, upholding the highest standards responsibly. We create trust between businesses and those they serve, demonstrating the ambition to work hard and the humility to learn and grow. We cultivate an open and inclusive environment wherever we operate. And ethics, safety and financial control serve as the foundation for our shared culture.

Being part of the BV family, is more than just working, it’s being convinced that you will leave your mark…. in shaping a world of trust.

Apply now »