CSA Finance Specialist
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CSA Finance Specialist
P lay a key role in supporting the financial performance, reporting, and operational finance activities of the CSA business
Do you enjoy working with analysis and insights ?
Partner with the best
Baker Hughes stands as a leading global energy-technology company, delivering innovative solutions that make energy safer, cleaner, and more efficient across the entire value chain. Operating in more than 120 countries, the company blends deep industrial expertise with advanced engineering and digital technologies to support energy production, transformation, and decarbonization. With over a century of heritage, Baker Hughes partners with customers in oil and gas, industrial sectors, and emerging energy markets to accelerate progress toward a more sustainable energy future
Fuel your passion
The CSA Finance Specialist plays a key role in supporting the financial performance, reporting, and operational finance activities of the CSA business. The role partners closely with regional finance leaders, commercial teams, controllership, project management, and shared service organizations to ensure accurate financial reporting, effective margin management, compliance with accounting requirements, and continuous process improvement.
The successful candidate will provide financial analysis and insights, support closing and forecasting activities, drive data quality initiatives, and contribute to business decision-making across multiple regions and legal entities.
As CSA Finance Specialist, you will be responsible for:
Financial Planning & Analysis
Supporting monthly, quarterly, and annual financial forecasting processes, including revenue, margin, and profitability analysis.
Partnering with regional CSA Finance Managers to develop sales and margin outlooks and assess risks and opportunities.
Analyzing business performance drivers and report to management
Financial Reporting & Closing
Supporting monthly, quarterly, and year-end closing activities in compliance with company policies and accounting standards.
Assisting with statutory reporting requirements and support external and internal audit activities.
Ensuring the accuracy and completeness of financial data used for reporting and decision-making.
Project & Contract Accounting
Supporting financial processes related to project accounting, including Percentage of Completion (POC) accounting.
Monitoring project financial performance and assist in revenue recognition and margin analysis activities.
Participating in contractual margin reviews and support actualization processes in collaboration with Risk Management and Commercial teams.
Reviewing and reconcile deferred balances and other contract-related financial accounts.
Intercompany & Controllership Support
Coordinating and support intercompany billing and recharging processes across multiple legal entities and regions.
Working closely with intercompany teams to investigate and resolve reconciliation issues and outstanding balances.
Performing