The Finance Manager will own the month-end close calendar, review material journal entries, and prepare comprehensive management reports for the CEO
Job Summary
The Finance Manager will own the month-end close calendar, review material journal entries, and prepare comprehensive management reports for the CEO.
This role requires managing treasury operations including rolling cashflow forecasts, foreign exchange hedging strategies, and cross-border cash pooling across all entities.
The successful candidate will lead annual budgeting, oversee international expansion initiatives, and serve as the principal liaison with auditors and government bodies.
Matching Summary
Match Score: 85
The Finance Manager will own the month-end close calendar, review material journal entries, and prepare comprehensive management reports for the CEO.
Skills & Requirements
Must-have
Month-end closing and financial reporting
Treasury and cashflow management
Budgeting and strategic planning
Tax compliance and statutory filings
Internal control framework design
International entity setup and expansion
Nice-to-have
Cross-border tax optimization expertise
Fraud detection protocol design
Senior management representation skills
Team performance delegation experience
Key Requirements
Experience in multi-entity financial consolidation