Ideal Candidate
A University graduate in Accounting, Economics, Business Administration, or a similar field with the right foundation for this role.
Fluency in English (Advanced level speaking and writing).
A professional with 2–3 years of experience in a similar accounting position, ready to transition smoothly into our daily operations.
An expert in Romanian tax regulations and local accounting principles, capable of seamlessly managing tax declarations and interacting with tax agencies.
An accountant with prior SME management experience, making it easy to adapt quickly to our dynamic team structure.
A proven reporter with verifiable experience preparing financial statements and closing books.
A tech-savvy specialist highly proficient with modern software, including specialized accounting, tax, and management programs.
Fluency in English (Advanced level speaking and writing).
A professional with 2–3 years of experience in a similar accounting position, ready to transition smoothly into our daily operations.
An expert in Romanian tax regulations and local accounting principles, capable of seamlessly managing tax declarations and interacting with tax agencies.
An accountant with prior SME management experience, making it easy to adapt quickly to our dynamic team structure.
A proven reporter with verifiable experience preparing financial statements and closing books.
A tech-savvy specialist highly proficient with modern software, including specialized accounting, tax, and management programs.
Job Description
Take ownership of the ledger by executing monthly and annual accounting closings and preparing the financial statements.
Manage cash flow directly, processing all bank payments and efficiently tracking daily financial movements.
Keep the company compliant through the preparation and settlement of quarterly and annual local taxes.
Drive financial planning by developing monthly and annual Treasury budgets and performing insightful cost analyses to optimize expenditures.
Maintain strict internal controls, which include overseeing invoice verification, logging business trips, and managing our accounting, tax, and management software.
Maintain complete, accurate, and well-organized supporting documentation for financial reporting activities.
Manage cash flow directly, processing all bank payments and efficiently tracking daily financial movements.
Keep the company compliant through the preparation and settlement of quarterly and annual local taxes.
Drive financial planning by developing monthly and annual Treasury budgets and performing insightful cost analyses to optimize expenditures.
Maintain strict internal controls, which include overseeing invoice verification, logging business trips, and managing our accounting, tax, and management software.
Maintain complete, accurate, and well-organized supporting documentation for financial reporting activities.
Company Description
Great people drive great goals. And that’s about our team—open, ambitious, and dedicated. At Altocere, we provide multilingual support, customer service consulting, and AI-assisted tools to improve digital product performance.
