01 May 2018
01 November 2019
2465€ (Non-contractual allowance laid down by decree and order, whose amount may vary in particular depending on the changes to the reference scale, the location of the position and the cases for deductions set out in the texts)
For more than 20 years, a passion for engineering has driven us: ALTEN (26 000 employees, turnover close to 2 billion € in 2017) is today the European leader in engineering consulting and advanced technologies. Our mission is to create customer satisfaction by developing tailor-made and innovative solutions for IT and Technology. Present in 20 countries, we offer consulting and engineering services in telecommunications, computer systems, networking, multimedia, defense, aviation, and information systems to the world’s largest companies.
Following consistent double-digit growth in the North American region, we are now looking at reinforcing our East Coast finance team by recruiting a young and ambitious Business & Financial Controller, based in our offices in the Metropolitan Detroit area (Michigan, USA).
You will have a twofold role:
- Support the local management of our three ALTEN Group companies in Detroit (including a subsidiary in India)
- Be the main contact of the International Finance team (based in the Group Headquarters in Paris) for these three subsidiaries.
You will work closely with the local administrative and accounting teams to collect information, analyze it and prepare in return business (KPIs) and financial reports. You will also provide accounting and financial guidance to these teams, as needed. You will furthermore discuss your analysis with the local business managers to help them understand performance and monitor the activity.
Your will achieve all these mainly by:
- Producing weekly, monthly & quarterly operational reports and analyzing with a critical eye the weekly operational indicators (KPIs)
- Producing quality reports and analysis for key deadlines such as:
o Weekly reporting and analysis of operational indicators: headcount, projects, activity ratios etc
o Monthly financial and analysis reports: revenue by type and customer, detailed P&L analysis, intercompany activity, cash flow, accounts receivables, WIP etc.
o Quarterly financial reporting for Group consolidation purposes (detailed P&L and Balance Sheet schedules etc)
- Introducing advanced levels of analysis and creating new reports for local management use.
- Supporting the development and deployment of advanced analysis models and IT tools within the local businesses.
A graduate from an engineering or business school (Bac+5), you have a first successful experience in controlling or audit (2-3 years of post-graduation professional experience in total. You are now looking for a challenging, demanding but rewarding position in a young team in international environment.
You have already developed a solid basis in the controlling and reporting field, including business and financial analysis (KPIs, operational reports) and financial reporting (P&L, Balance Sheet, Cash Flow etc). You are an expert in spreadsheets (Microsoft Excel vlookup, TCD, macros).
You are great with numbers but also with explaining financial concepts to non-finance stakeholders. You have a critical mindset and your work is rigorous and organized. You enjoy putting structure in place and implementing processes, and are interested in an environment where you can leave a mark.
With a “go getter” attitude, you are curious, autonomous and pro-active. Last but definitely not least, you have a strong sense of service, are open minded to cultural differences and generally have a good human contact.
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