Financial Analysis and Accounting Control Expert Accounting Control Expert
Role overview
Due to the company’s continued growth, we are looking for a motivated and experienced Financial Analysis and Accounting Control Expert to join our Finance & Accounting team.
In this role, you will be responsible for preparing financial analyses and management reports, supporting budgeting activities, and ensuring the accuracy and reliability of financial and accounting information. You will work closely with the accounting team, management, banks, and other internal stakeholders to identify deviations, support informed decision-making, and contribute to the continuous improvement of financial control and reporting processes.
Key responsibilities
- Prepare monthly financial analyses and reports for the management team;
- Analyze revenues, expenses, balances, deviations, and key financial indicators;
- Support the annual budgeting process by collecting, validating, and analyzing financial data;
- Perform operational control of accounting balances and verify the accuracy of financial and accounting information;
- Identify inconsistencies, errors, risks, and deviations in accounting data and escalate them when necessary;
- Monitor loans, leases, bank limits, repayments, and other related financial obligations;
- Maintain communication with banks and support the preparation of requested financial information and documentation;
- Support the accounting team when needed, including the processing of financial transactions and primary accounting documents;
- Contribute to the improvement and automation of financial analysis, reporting, and control processes;
- Collaborate with internal departments to ensure the timely and accurate exchange of financial information.
Requirements
- University degree in Accounting, Finance, Economics, or a related field;
- Minimum 3 years of relevant professional experience in finance, accounting, controlling, or a similar financial function;
- Very good knowledge of MS Excel and confidence in working with financial data;
- Experience working with accounting software or ERP systems;
- Good understanding of accounting operations, balances, financial reports, and primary accounting documents;
- Knowledge of the Bulgarian Accounting Act and National Accounting Standards;
- Strong analytical thinking, accuracy, and attention to detail;
- Ability to identify errors, deviations, and potential risks in financial data;
- Excellent organizational skills and ability to work effectively with deadlines;
- Working level of English will be considered an advantage.
Advantages
- Experience with budgeting and financial planning processes;
- Experience with loans, leases, bank limits, repayments, and communication with banks;
- Experience in a production, trading, or distribution company;
- Advanced Excel skills, including Power Query, pivot tables, and complex financial models;
- Experience working with BI or financial reporting tools;
- Previous involvement in the improvement or automation of financial reporting and control processes.
What we offer
- Opportunity for professional growth in a dynamic and successful production company;
- Competitive salary;
- Supportive and motivated team environment;
- Additional health insurance with family member options;
- Monthly food vouchers;
- Company events and team-building activities;
- Unlimited access to protein bars;
- Provided parking space;
- Workplace: Iliantsi district, 41 Rozhen Blvd., Sofia.
How to apply
If you recognize yourself in this role and would like to become part of the Healthy Bars team, please submit your CV.
Only shortlisted candidates will be contacted for an interview.
By sending us your CV, you give us the right to collect and process your personal data as part of our candidate registration and recruitment process. All applications will be treated with strict confidentiality and in accordance with Regulation (EU) 2016/679 (GDPR).