We are seeking a Finance Supervisor and Business Partner for our client who operates pharmaceuticals and crop science, empowers its teams to shape a healthier future for people and the planet. The Finance Supervisor & Business Partner will play a key role in driving financial excellence, partnering with business leaders, and supporting strategic decision‑making in a dynamic and purpose‑driven environment.
Your new role
In this role, you will lead the financial integrity and performance of the Hungarian organization. You will be responsible for preparing and presenting statutory financial statements in full compliance with IFRS, local regulations, and internal directives. As a strategic partner to the Pharma business, you will support commercial planning and steer performance through data‑driven recommendations.
Key ResponsibilitiesAs Finance Team Lead
- Ensures the effective implementation of globally defined financial and tax strategies, standards, best practices, IT solutions, and processes.
- Contributes to the preparation of the local legal entity’s income statement and consolidation package, including tax forecasting, transfer pricing, cash flow and liquidity planning, impairment testing, and other financial projections.
- Evaluates and analyzes relevant accounting matters, collaborating with local and global finance teams and consulting internal and external auditors when needed.
- Supports the presentation of the country’s financial statements to senior leadership, external auditors, and regulatory authorities. Oversees statutory and tax audits carried out by local authorities.
As Business Partner
- Achieves financial targets through strong financial steering, including planning, target-setting, forecasting, deviation analysis, and mitigation actions.
- Works closely with local sales leadership and regional finance teams to drive business performance and strategic decision-making.
- Leads operational controlling activities: forecasting (sales, costs, headcount), regular reporting (channels, margins, gross‑to‑net, tenders), and monitoring of reimbursement schemes.
- Manages and oversees local financial incentive structures and commercial policies; leads the annual commercial committee.
- Coordinates financial risk management activities and contributes to efficiency and continuous improvement initiatives.
Who You Are
- You have university degree or equivalent professional background in Accounting, Finance, Controlling, Auditing, or related fields.
- Minimum of 5 years of relevant professional experience in finance.
- Strong focus on results, effective collaboration skills, ability to build trust, business acumen, and courage in decision-making.
- Advanced understanding of IFRS, local tax regulations, and group financial standards and guidelines.
- Strategic mindset with the ability to manage complexity and foster cross-functional collaboration.
- Fluency in the local language and English.
What the company offers
- Competitive and comprehensive benefits package
- Company car included
- Hybrid working model with 1–2 office days per week
- Flexible setup supporting work–life balance
- Long‑term career growth opportunities within the organization
How to ApplyIf you're ready to take the next step in your career, apply now with your English CV.