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Baudet-Lackner JÉRÔME

ANDRÉSY

En résumé

Fort d’une experience de près de 20 ans dans les métiers de l’Expertise Comptable et d’une pratique journalière de l’anglais, je suis désireux de pouvoir relever de nouveaux défis. Dans cette optique, je cherche à intégrer la direction comptable et financière d’un groupe résolument orienté à l’international et à l’accompagner dans son développement.

Entreprises

  • BACIS - Associé

    2010 - maintenant
  • ARIEC - PKF-AMPERSAND - Cadre

    1999 - maintenant www.ariec.com
    www.pkf-ampersand.com

    In the context of French GAAP :

    Senior Accountant Jan. 2006 – June 2008

    • Managed 20+ mid-sized client companies with overall responsibility for payroll, bookkeeping, A/P, A/R, general ledger reviewing, corporate tax, salary tax and others specific tax as VAT.
    • Completed month-end and quarterly reports as well as inter-company reconciliations on a strict deadline, according to the financial schedules and priorities of the parent companies.
    • Prepared internal invoices between French subsidiaries and their parent company by using specific cost assignment methods.
    • Prepared annual financial statements, tax returns and income tax.
    • Prepared corporate legal documents for events such as annual shareholder meetings.
    • Initiated contact with new clients.
    • Managed and trained a team of junior colleagues, reviewed the work performed.

    Staff Accountant Oct. 2001 – Dec.2005

    • Monthly bookkeeping including all necessary statements like bank reconciliations for 10+ client companies.
    • Assisted clients in resolving outstanding balances and AR/AP reconciliations.
    • Recorded month end entries for our internal reporting department.
    • Assisted statutory auditors in legal audit of large listed French companies.
    • Trained client staff for basic bookkeeping.
    • Monitored and updated client’s accounting software.

    Apprentice Oct. 1999 – Sept 2001

    • Replaced chief accountant at a leading pulp and paper head office, responsible in interim for all bookkeeping and treasury issues.
    • Prepared and reconciled bank deposits, bills of exchange and liaised closely with the client’s bank.
    • Performed general office duties related to the accounting activity.

Formations

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