Financial Controller - leading alternatives firm
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About the role
We are partnering with a leading investment firm to appoint a Finance Manager / Financial Controller to join their team at an exciting time as the business continues to go from strength to strength. This is an excellent opportunity for a qualified accountant looking to join a high-performing finance team in a fast-paced, international environment working in their Global HQ, and reporting to an inspirational FD - this is a huge chance to develop your breadth and depth of finance knowledge. The successful candidate will play a key role in financial reporting, month-end close, group reporting and process improvement initiatives, working closely with senior finance stakeholders across multiple entities. Key Responsibilities Support month-end and quarter-end close activities across a number of group entities. Prepare and review management accounts and financial reporting packs. Perform balance sheet reconciliations and investigate financial variances. Deliver P&L analysis and commentary on key business performance drivers. Support cash flow reporting and treasury-related activities. Reconcile and manage intercompany balances and transactions. Assist with group consolidation and reporting requirements. Support the annual audit process, including preparation of supporting schedules and liaison with auditors. Assist with VAT reporting and other regulatory compliance requirements. Support budgeting, forecasting and quarterly reporting processes. Identify and implement process improvements to enhance reporting efficiency and controls. Provide support on ad hoc finance projects and system-related initiatives. Candidate Profile Qualified accountant (ACA, ACCA, CIMA or equivalent). Post-qualified experience within financial services. Experience within financial reporting, corporate accounting, audit or finance management roles. Strong understanding of IFRS and financial reporting principles. Experience working within a multi-entity or group environment. Advanced Excel skills and strong financial analysis capabilities. Strong attention to detail and ability to work to tight deadlines. Excellent communication and stakeholder management skills. Financial services, private equity, asset management or professional services experience would be beneficial but is not essential.
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Company Intel
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