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VP, Finance

Bloom Equity Partners

Paris

Sur place

EUR 50 000 - 90 000

Plein temps

Il y a 30+ jours

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Résumé du poste

An established industry player is seeking a dynamic Accounting Manager / Finance Manager to join their nimble finance team in Paris. This role involves leading monthly reporting, creating financial models, and supporting the executive leadership team with data-driven insights. The ideal candidate will possess strong analytical skills, a solid background in finance and accounting, and the ability to communicate effectively across all organizational levels. If you thrive in a fast-paced environment and are eager to tackle new challenges, this opportunity is perfect for you.

Qualifications

  • 5-8 years of experience in FP&A with a strong accounting background.
  • Expert knowledge of French tax and accounting practices.

Responsabilités

  • Lead monthly reporting and forecasting analysis of revenue and margin.
  • Create financial models to support new product development and cost management.

Connaissances

Financial Planning & Analysis (FP&A)
French Tax and Accounting Practices
Analytical Skills
Communication Skills
Excel
PowerPoint

Formation

Undergraduate Degree

Outils

Financial Modeling

Description du poste

Role Overview

As a member of the Finance team, the Accounting Manager / Finance Manager will be part of a nimble, PE-backed company, acting as a trusted advisor to the executive leadership team.

The finance function provides data-driven insights to operationalize initiatives and improve financial performance. The ideal candidate has a well-rounded finance and accounting background, along with strong analytical and communication skills.

Key Responsibilities
  1. Lead monthly reporting and forecasting analysis of revenue and margin, including research, explanation, and resolution of variances.
  2. Ensure accuracy and transparency of results. Create ad-hoc financial and valuation models to support new product development, business performance, and cost management.
  3. Support the CEO and team in preparing monthly financial reports, operational reviews, and board presentations.
  4. Drive cost management and expense planning in collaboration with functional leaders.
  5. Leverage ROI models for resource prioritization and decision-making.
  6. Ensure compliance with labor laws, regulations, and company policies.
  7. Assist with HR record maintenance, compensation, and benefits administration.
  8. Develop policies and programs to improve competitiveness and profitability.
  9. Build and maintain complex financial models, benchmarking, and process analysis.
  10. Support M&A activities, including deal modeling, due diligence, and integration.
Desired Skills and Experience
  • English proficiency required; work onsite with the French team.
  • Expert knowledge of French tax and accounting practices.
  • 5-8 years of experience in FP&A.
  • Undergraduate degree required.
  • Detail-oriented with the ability to work in a fast-paced environment.
  • Curious and creative in tackling new challenges and projects.
  • Effective communication and cross-functional partnering skills.
  • Ability to present to all organizational levels, including senior leadership.
  • Advanced Excel and PowerPoint skills for financial modeling and analysis.
  • Proven accounting knowledge and financial statement construction skills.
Additional Information

Location: Paris

Reports to: Bloom Operating Partner

Employment Type: Contractor

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