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Group Finance and Consolidation Manager

Are you an experienced finance professional seeking an exciting opportunity with a leading financial services firm? Join our client's dynamic team as a Group Finance and Consolidation Manager. In this role, you will play a pivotal role in managing the financial operations and consolidation reporting for our esteemed client!

 

What is expected of you?

  • Lead the local finance function, ensuring timely and high-quality financial operations
  • Supervise bookkeeping, sales, and expense management
  • Collaborate with the broader finance team to accomplish group tasks
  • Collect data from diverse sources and create consolidated statutory and management reports
  • Develop meaningful management reports with KPIs to support strategic decisions
  • Manage budgets, forecasts, and cash flow reporting for individual entities and the group
  • Produce accurate monthly management accounts and reports and coordinate with auditors
  • Ensure compliance with statutory and regulatory reporting, utilizing third-party vendors when necessary
  • Establish a system to monitor profitability by products and sales managers per entity
  • Consolidate entity performance data for group-level reporting
  • Create a process for reallocating revenues among entities due to sales managers
  • Oversee statutory and regulatory reporting, including ICARA, MIFID Return, and other regulatory returns
  • Monitor and report the firm's regulatory capital and liquidity position
  • Manage banking relationships and liaise with regulators and other stakeholders when required
  • Oversee operating cash accounts, reconciliation, and reporting
  • Supervise liquidity management and foreign exchange operations
  • Manage debtor/creditor accounts and reporting
  • Provide financial management and support to achieve business financial goals
  • Handle departmental budgets, forecasts, and reporting for both individual entities and consolidated views
  • Present key financial information in board meetings
  • Ensure adherence to sound financial governance
  • Manage corporate tax compliance and oversee VAT returns for the Company and the group
  • Ensure adherence to remuneration principles and payroll
  • Optimize tax strategies and consider transfer pricing issues
  • Collaborate with business teams to enhance profits and financial transparency
  • Contribute to strategic planning and decision-making
  • Lead the group finance team, including their professional development
  • Monitor internal and external audit recommendations related to finance

 

What are you expected to bring?

  • Hold a valid accounting qualification with a minimum of 5 years of post-qualification experience
  • Possess a strong technical grasp of IFRS
  • Be fluent in English, knowledge of other languages will be advantageous
  • Experience in consolidation statutory and management reporting
  • Previous managerial experience and ability to lead in a fast-paced, high-pressure environment
  • Exceptional communication skills to effectively interact with various internal departments and external counterparts
  • Good IT skills and the ability to streamline processes using software and technology
  • An eye for detail and business acumen

 

What’s in it for you?

  • Competitive salary and discretionary performance bonus
  • Flexible working conditions
  • Private Health and Dental Insurance
  • Gym membership
  • Other benefits are offered

 

Don't miss out on this amazing opportunity… Get in touch with us at Ceek and apply!