Job
Description
As a Finance professional in the Group Finance Control Reporting function at this Big4 MNC, your role involves ensuring accurate financial consolidation, regulatory compliance, and providing strategic insights across global operations. **Key Responsibilities:** - Prepare monthly/quarterly/year-end consolidated financial statements. - Manage multi-currency adjustments, intercompany eliminations, and group-level reconciliations. - Conduct variance analysis (actuals vs. budget) and develop executive dashboards, KPIs, and financial commentaries. - Translate data into actionable business insights. - Implement internal controls for reporting accuracy and risk mitigation. - Coordinate internal/external audits and resolve audit queries. - Utilize tools like Power BI, Alteryx to streamline workflows. - Lead finance transformation initiatives such as system upgrades and digital reporting. - Partner with FP&A, Tax, Treasury, Controllers, and senior leadership. - Support M&A integration, restructuring, and strategic planning. - Mentor junior staff, conduct peer reviews, and manage performance. **Qualifications Required:** - Bachelor's degree in Finance, Accounting, Economics, or related field. - Mandatory certifications: CPA, CA, ACCA, CMA, or equivalent. - Proficiency in financial consolidation tools like Hyperion, OneStream, SAP. - Advanced Excel, Power BI, and experience with ERP systems (SAP/Oracle). - Strong analytical skills, risk management expertise, and project execution capabilities. - Excellent cross-cultural communication skills, deadline-driven mindset, and integrity with sensitive data. This role offers you the opportunity to work in a dynamic environment where you will play a crucial role in financial reporting, analysis, and transformation initiatives. You will collaborate with various teams within the organization and contribute to strategic decision-making processes. As a Finance professional in the Group Finance Control Reporting function at this Big4 MNC, your role involves ensuring accurate financial consolidation, regulatory compliance, and providing strategic insights across global operations. **Key Responsibilities:** - Prepare monthly/quarterly/year-end consolidated financial statements. - Manage multi-currency adjustments, intercompany eliminations, and group-level reconciliations. - Conduct variance analysis (actuals vs. budget) and develop executive dashboards, KPIs, and financial commentaries. - Translate data into actionable business insights. - Implement internal controls for reporting accuracy and risk mitigation. - Coordinate internal/external audits and resolve audit queries. - Utilize tools like Power BI, Alteryx to streamline workflows. - Lead finance transformation initiatives such as system upgrades and digital reporting. - Partner with FP&A, Tax, Treasury, Controllers, and senior leadership. - Support M&A integration, restructuring, and strategic planning. - Mentor junior staff, conduct peer reviews, and manage performance. **Qualifications Required:** - Bachelor's degree in Finance, Accounting, Economics, or related field. - Mandatory certifications: CPA, CA, ACCA, CMA, or equivalent. - Proficiency in financial consolidation tools like Hyperion, OneStream, SAP. - Advanced Excel, Power BI, and experience with ERP systems (SAP/Oracle). - Strong analytical skills, risk management expertise, and project execution capabilities. - Excellent cross-cultural communication skills, deadline-driven mindset, and integrity with sensitive data. This role offers you the opportunity to work in a dynamic environment where you will play a crucial role in financial reporting, analysis, and transformation initiatives. You will collaborate with various teams within the organization and contribute to strategic decision-making processes.