Finance Manager France Job in Boulogne-Billancourt (92) at ESPRIT –

Your Responsabilities

  • Oversees all Finance responsibilities in France and is a member of the local management team
  • Performs financial accounting in compliance with internal and external guidelines
  • Follows up and adjusts cash forecasts
  • Acts as a sparring partner for the business heads
  • Manages and develops the Finance team

Detailed tasks

Treatment of transactions and accounting

  • Is responsible for processing and accounting within the general ledger, accounts payable, accounts receivable, point of sales clearing, cash management, tax,
  • Ensures proper documentation of all financial activities and bookkeeping,
  • Develops and coordinates the monthly and annually closure activities,
  • Respects legal, group and tax reporting related to local laws and group policies.

Financial standards and management reports

  • Provides all financial reports for the income statement, balance sheet, cash flow account and all statutory and legal deposits of the legal entity,
  • Provides detailed transaction reports, capital expenditures, workforce, …

Taxes and cash services

  • Performs all regular banking activities. Ensures compliance with credit, banking policies,
  • Monitors, defers and forecasts cash balances. Coordinates and prepares balance sheet and cash flow forecast,
  • Oversees compliance with the policies and procedures of tax legislation,
  • Coordinates the preparation of local tax returns by external advisors. Participates and supports the tax audit,
  • Coordinates internal and external audits and ensures that the local team works efficiently with the auditors.

Internal control, procedures, and guidelines

  • Evaluates processes and systems and ensures that adequate internal controls are in place to safeguard the assets of the business,
  • Develops and implements accounting policies and procedures to ensure proper communication and reporting of statutory financial information, group reports,
  • Provides advice on the accounting rules, policies and group procedures,
  • Ensures that established local policies and procedures are communicated and respected within the company.

Controlling and Budgeting

  • Prepares the annual operating budget as well as forecasts. Monitors budget and forecast deviations and provides explanations,
  • Participates to the management meetings to discuss the company’s economic performance and initiates corrective measures,
  • Supports Retail and Wholesale businesses budget, financial reporting, growth and development and financial evaluation of business proposals,
  • Analyzes costs/benefits for store portfolio measures and other relevant investments Credit management and review of wholesale customers.
  • Credit/AR control of wholesale customers.

Human Resources and Training

  • Collaborates on recruitment and training to ensure positions are filled,
  • Conducts follow-up interviews with team members detailing the objectives of commercial and personal development,
  • Ensure the continuous skills improvement of the team members.

Job Type: Full-time
Status: Cadre

Salary: Up to 95,000.00€ per year

Ability to commute/relocate:

  • 92100 Boulogne-Billancourt: Reliably commute or planning to relocate before starting work (Preferred)


  • Finance management: 6 years (Required)


Shift availability:

Work Location: Hybrid remote in 92100 Boulogne-Billancourt

Application Deadline: 04/12/2022

About the Company

Company: ESPRIT –

Company Location:  Boulogne-Billancourt (92)

Estimated Salary:

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About ESPRIT -