2006 - maintenantCompany Description: GEFCO (subsidiary of PSA Peugeot Citroen) is among the first 10 European transport and logistics groups with a turnover of 3.6 billion Euros in 2012. As a total logistics integrator, GEFCO offers a global expertise, a worldwide network, and multimode solutions with a unique information system.
Responsibilities, Achievements: -Start-up(2005) of the company in Romania: create and coordinate Accounting, Finance, HR and Controlling teams;
-Drive process rigor, predictability, accuracy & controllership in all line items in P&L and Balance Sheet and other reporting issues;
-Responsible for internal and external audits, tax filings including corporate income tax and vat reimbursement, and tax investigation from authorities;
-Create long range plans and short range forecasts; tracking progress against plans at a granular level;
- Recommending actions to get to planned performance for the operating teams; responsible for yearly budget and periodically revisions;
-Implementing the corporate rules and procedures, the reporting finance indicators;
-Responsible for statutory juridical issues;
-Fiscal representation office, EU taxation;
-SAP implementation and interfaced with the operational software;
- Coordinate the custom activity, creation of the custom broker office;
-Manage the insurance components, litigations and damages;
Summa Romania SA
- Finance and Accounting Manager
2002 - 2006employees: 250- 500
Company Description: International Construction Company, leader on the Romanian market in the A Class offices buildings field, having branches in
Holland, England, Germany, Russia, USA, and projects in Romania like: Plaza Romania Project(60 mil euro), North Gate Center(40 mil euro),,Business Corporate Center(30 mil euro),Millennium Center(40 mil euro), Emerald Residences Project
Responsibilities, Achievements: Set-up of the company in Romania: establish and coordinate the Finance, Accounting, HR Departments;
Organizing the management of materials, inventories processes, procedures and flow, monthly payment certificates controlling
Preparation of the yearly budget, quarterly revisions of the budget,
Establish and pursue the financial strategy of the company;
Financial revision of the monthly payments certificates for the clients;
Create and maintain the financial &accounting/reporting system according to the business objectives;
Design the architecture of the documents flow and Quality certification process;
Involve in contracts negotiation and bidding preparations;
Deal with the bank regarding LCs and other credit-lines;
Financial reports to the mother-company and shareholders;
Responsible for the communication with the European branches, with the internal and external auditors;
Represent the company in relation with Romanian authorities; all taxation issues;
Formations
The French Institute (Bucharest)
Bucharest2011 - 2011Business French language certificate
Governmental Institution checking the financial-accounting and tax discipline of the companies;
Responsibilities, Achievements: tax and fiscal laws checking, analysis and control balance-sheets of the foreign companies;
References, Other observations: IAS class
The Academy Of Economic Studies, Faculty: Computer Science (Craiova)