We're Concentrix. The intelligent transformation partner. Solution-focused. Tech-powered. Intelligence-fueled. The global technology and services leader that powers the world’s best brands, today and into the future.
Senior Director, Accounting
Location
France
Posted
1 day ago
Salary
0
Seniority
Lead
No structured requirement data.
Job Description
Senior Director, Accounting
CNX
Role Description We are seeking an experienced and dynamic Senior Director of Accounting to lead our financial operations in the French region. This role is pivotal in ensuring the financial integrity and compliance of our accounting practices across the region which covers France and French-speaking African countries. The entire region employs 25,000+ people and accounts for $650 million annual revenue across the 50 legal entities. The successful candidate will oversee a team of accountants, guiding the corporate, regional, and country-level financial reporting processes. Key Responsibilities: - Financial Integrity and Reporting: - Oversee the financial integrity of Corporate ledgers and ensure compliance with USGAAP and local GAAP standards. - Lead the timely and accurate financial reporting across the French region, collaborating with various organizational departments. - Team Leadership and Development: - Manage and mentor a team of accountants, fostering a culture of excellence and continuous improvement. - Drive team alignment with corporate accounting policies and procedures to ensure consistent financial practices. - Process and Compliance Management: - Establish monthly close calendars and oversee ledger closures, ensuring compliance with corporate income tax requirements. - Ensure adherence to SOX controls, working closely with Internal Audit for validation. - Collaboration and Coordination: - Coordinate closely with FP&A teams during monthly close to ensure the accurate reflection of financial transactions. - Participate in the EMEA daily close calls with Accounting/GLSS and FP&A to resolve concerns and coordinate activities for the French region. - Contribute to operational and reorganization projects in the region to ensure proper accounting and financial consequences are properly assessed. - Statutory and Regulatory Compliance: - Maintain ownership of local GAAP and statutory compliance, including audits and tax returns for CIT, VAT, and WHT. - Act as a signatory for filings on behalf of the legal entity, ensuring adherence to regional regulations. - Operational Excellence: - Drive the approval and reconciliation of balance sheets and the segregation of duties for manual entries. - Oversee the preparation, filing, and recovery of VAT and payment of WHT. Qualifications - Master’s degree in Accounting Finance, ideally graduate from Business School as well as CPA or equivalent professional certification preferred. - Extensive experience in a senior accounting role, with significant exposure to French financial operations and preferably with Big 4 audit experience. - Bi-Lingual with excellent French and English capabilities. - Proven leadership experience managing large teams within a multinational context. - Strong knowledge of local and international accounting standards and compliance requirements. - Broad experience across industry and practice, with a proven track record in environments requiring reporting under multiple GAAP frameworks, including IFRS and US GAAP. - Demonstrated expertise in managing accounting functions for large businesses, with a focus on forecasting, budgeting, and due diligence for acquisitions. - In-depth knowledge of financial systems and their implementation, ensuring robust financial operations and reporting capabilities. - Excellent communication and interpersonal skills, with the ability to influence at all levels of the organization. Location - FRA Work-at-Home Time Type - Full time
Related Guides
Related Categories
Related Job Pages
More Accounting Manager Jobs
Accounting Manager
Children’s MinnesotaChildren’s Minnesota is one of the largest pediatric health systems in the United States and the only health system in Minnesota to provide care exclusively to children, from before birth through young adulthood. An independent and not-for-profit system since 1924, Children’s Minnesota is one system serving kids throughout the Upper Midwest at two free-standing hospitals, nine primary care clinics, multiple specialty clinics and seven rehabilitation sites. As The Kids Experts™ in our region, Children’s Minnesota is regularly ranked by U.S. News & World Report as a top children’s hospital. Children’s Minnesota is proud to be recognized by Modern Healthcare as one of 2023’s Top Diversity Leaders. The national honor recognizes the top diverse healthcare executives and organizations influencing public policy, care delivery, and promoting diversity, equity and inclusion in their organizations and the industry.
Role Description Oversees the day-to-day operations of the accounting and tax area. Responsible for maintaining the accuracy and integrity of the General ledger, reconciling all sub ledger, reviewing account reconciliations, preparation of monthly financial statements, tax reporting coordination of the annual external audit and other periodic federal and state audits, coordination of tax audits and staff supervision. Qualifications - CPA certification required - Bachelor's degree in Accounting required Requirements - 5+ years of accounting experience - 2 years of leadership experience - Prior experience with PeopleSoft Financials is a plus - Leadership, specifically developing staff and delegating to appropriate level Benefits - Medical, dental, vision, retirement, and other fringe benefits - Positions that require night, weekend or on-call work may be eligible for shift differentials or premium pay
• Enter and reconcile contract manufacturing activity within the reporting system, ensuring accuracy of production runs, cost details, and supporting documentation • Process product receipts based on vendor reporting related to production order completions at contract manufacturers • Track and analyze inventory movements (receipts, transfers, consumption, adjustments) and ensure proper financial recognition in accordance with accounting standards • Support production activities and build assembly transactions, ensuring Bills of Materials (BOMs) and component consumption are accurately reflected • Process prepaid supplier invoices and purchase orders, and perform regular vendor statement reconciliations to ensure balances are accurate and current • Identify inventory and reconciliation discrepancies, investigate root causes, and recommend or implement corrective actions • Partner cross-functionally with Finance, Operations, and Supply Chain teams to ensure inventory data accuracy and alignment • Provide general inventory accounting support and ad hoc analysis as needed • Assist with testing, troubleshooting, and process improvement efforts related to inventory and reconciliation workflows • Experience utilizing and navigating D365 and Exflow
Role Description We are seeking an Accounting Operations Analyst to work closely with our Finance & Accounting team. The ideal candidate brings deep experience in corporate accounting and finance (CPA/CMA preferred) and will own day-to-day accounting operations, including corporate AR/AP, vendor and contract management, and expense management through Ramp. This role is central to maintaining clean books, supporting journal entry preparation and bookkeeping, and ensuring effective communication between external accountants, auditors, and internal teams. - Manage corporate accounts payable and accounts receivable, including A/R analysis, collections, and vendor inquiries. - Administer the Ramp platform: process transactions, manage cards and approvals, code expenses, and reconcile activity. - Own vendor and contract management, including onboarding, maintaining records, tracking renewal and compliance terms, and updating ACH/payment information. - Support intercompany billings and reconciliations as needed. - Create invoices and post charges to tenant ledgers. - Provide support for month-end, quarter-end, and year-end close and reporting, including generating, modifying, preparing, and formatting monthly financial reports for Bridge33. - Maintain accurate and organized documentation in electronic filing systems, including maintaining the Accounting Dropbox folder hierarchy and integrity. - Collaborate with internal and external stakeholders to resolve issues and address inquiries in a timely manner. - Work on ad hoc projects and initiatives as needed, including projects where there may be ambiguity, or which do not have clearly established processes to reference. - Maintain and update accounting and financial information in the prescribed standards and systems. - Flexibility to support several different teammates within the Accounting and Finance Department and to prioritize and balance different responsibilities. - Effectively and clearly track and communicate the status of workflow tasks to supervisors. - Maintain accounting and financial files, including financial workbooks, property spreadsheets, and trackers. - Work with internal business units and other accountants to enter information into financial workbooks. - Assist with monthly reporting process. - Check emails daily (manage personal inbox, accounting inbox). - Perform other duties as assigned. Qualifications - Bachelor's degree in finance or accounting. - CPA/CMA is preferred. - 3+ years of relevant experience in finance, financial operations, accounting, or related field. - Strong knowledge in Bookkeeping. - Strong attention to detail and organizational skills. - Ability to work independently and collaboratively. - Strong Microsoft Excel skills. - Accounting system experience preferred. - Proficient in other Microsoft Office programs: Word and PowerPoint. - Excellent English verbal and written communication skills. - Team player who is organized, proactive, and works well with others. - Comfortable working in a high-growth organization with a sense of urgency. Requirements - Fully remote. - Fluent in English. - Will work 8:00 AM to 5:00 PM US Pacific Time (PST).
Accounting Associate, Billing & Revenue
Foundant TechnologiesSoftware to maximize the impact of the philanthropic community.
• Own end-to-end invoicing across multiple currency subsidiaries • Partner with the Sr. Revenue Accountant, Sales Ops, and relevant stakeholders to resolve data discrepancies on Sales Orders • Coordinate milestone, contingency, and professional services billing with internal partners • Manage the sales tax process, documenting exemptions and reconciling invoiced and filed amounts • Apply client payments daily in NetSuite • Own client collections across enterprise wide • Monitor the AR inbox and respond to client inquiries related to invoicing and payments • Assist the Sr. Revenue Accountant with SaaS revenue and deferred revenue analytics • Process revenue-related journal entries and assist with month-end GL reconciliations


