Excel

Excellent opportunity for professional development in an international environme Strategic leadership role with strong exposure to senior management and business ¿Dónde vas a trabajar? Our client is an international company operating in the consumer...

  • Excellent opportunity for professional development in an international environme
  • Strategic leadership role with strong exposure to senior management and business

¿Dónde vas a trabajar?

Our client is an international company operating in the consumer goods sector, with a well-established presence across multiple markets and revenues of approximately €40 million. The business is undergoing a period of consolidation and optimisation, offering the successful candidate the opportunity to play a key role in strengthening financial processes, reporting, and strategic decision-making




Descripción

  • Build and maintain the group's consolidated cash flow forecast, integrating multiple entities, jurisdictions, and currencies.
  • Manage liquidity planning and scenario modelling, ensuring adequate cash availability throughout seasonal business cycles.
  • Drive working capital optimisation through inventory management, supplier payment terms, receivables control, and intercompany cash pooling initiatives.
  • Assess external financing opportunities when required as an additional liquidity lever.
  • Coordinate the monthly closing and group consolidation process.
  • Lead management reporting activities and provide accurate financial information to senior leadership.
  • Coordinate, consolidate, and validate budgets and forecasts prepared across the organisation.
  • Manage relationships with external auditors, tax advisors, and legal advisors.
  • Oversee corporate tax matters across several jurisdictions, including corporate income tax, VAT, and transfer pricing.
  • Lead and develop the finance team, covering treasury, credit control, and accounting support functions.
  • Ensure robust accounting processes, reliable monthly closings, and compliance with statutory and fiscal obligations.
  • Strengthen internal controls, financial processes, and reporting tools across the organisation.


¿A quién buscamos (H/M/D)?

  • 8 to 12 years of experience within finance roles.
  • Previous experience in an international audit firm combined with subsequent in-house multinational experience would be highly valued.
  • Demonstrated expertise in treasury and working capital management within complex, multi-entity and multi-currency environments.
  • Strong exposure to seasonal, inventory-intensive businesses such as consumer goods, retail, distribution, or food industries.
  • Solid knowledge of consolidation, international taxation, audit coordination, and financial reporting.
  • Advanced SAP and Excel skills.
  • Fluent English is essential; additional languages will be considered a plus.
  • A hands-on, autonomous, and solution-oriented approach, with the ability to operate independently and drive improvements in a changing environment


¿Cuáles son tus beneficios?

  • Excellent opportunity for professional growth within an international organisation.
  • Broad scope of responsibility with high visibility to senior management.
  • Strategic role with direct impact on the company's financial performance and decision-making.
  • Dynamic and international working environment.
  • Opportunity to lead process improvement and transformation initiatives.


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