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TMF Group is a leading provider of critical administrative services, helping clients invest and operate safely around the world. We provide legal, financial and employee administration through TMF Group’s teams in 120 offices.
You will be responsible for supporting the Accounting & Tax team by taking care of every required administrative task, including cash management, maintenance of physical and electronic files, basic accountancy records and tax compliance assistance.
You will learn to perform full bookkeeping processes of the different company’s activities, as well as preparing first drafts of most of the tax forms required for your assigned portfolio, in order to take full responsibility of these processes.
- Bookkeeping
- Register all entries in the accounting process.
- Calculate relevant entries.
- Prepare import files to be uploaded in ERP.
- Maintenance of control sheets for entries’ calculations.
- Tax Compliance
- Prepare VAT and Withholding tax first drafts.
- Prepare Intrastat and SII reporting upload templates or coordinate with Back-Office to initiate process.
- Populate validated CIT, WHT and VAT forms in relevant Tax Authorities’ platforms.
- Coordinate approved local tax and penalty payments.
- Cash Management
- Prepare transfer orders or coordinate with Back-Office to initiate process.
- Statutory Reporting
- Export reports from ERP.
- Prepare Official Ledgers first draft if Back-Office is not available.
- Submit validated Official Ledgers if Back-Office is not available.
- Prepare Annual Accounts Trade Register official formats.
- Audit Assistance
- Assist in audit processes, gathering the information requested.
- Billing
- Prepare invoice' first drafts.
- Other functions
- Manage physical and virtual files of the team’s portfolio based on the agreed standards.
- Send basic electronic correspondence to clients (invoices, bank statements, etc.).
- Daily correspondence with third parties to gather information.
- Take care of mail handling services.
- Fill in INE forms and surveys first draft if Back-Office is not available.
- Participate in the population of department control sheets.
- Degree in Finance, business or related disciplines.
- At least 1 year of experience in a similar position
- Consolidated experience in accounting.
- Advanced English skills
- Excellent written and communication skills
- Proficiency in MS Office package
- Strong team-playing skills
- Quick-learning and flexibility towards changing environments
- Excellent organization skills and adaptability to a high multitasking environment
- Flexible Schedule (start between 8 to 10 AM, finish by 5 to 7 PM)
- Hybrid work (up to 60% remote)
- Medical Insurance
- Flexible Payment Plan (restaurant/transportation/training/childcare ticket)
- Birthday leave
- Optional free English lessons
- International & Dynamic environment
- Casual dress code