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The Senior Manager, Finance is a pivotal leadership role responsible for the integrity of Group consolidation, sophisticated financial analysis, and the strategic management of cash flow. This individual will provide high-level insights to the GCFO, driving operational cost efficiency and ensuring a robust internal control environment across all business units.
Job Responsibility:
Execute Group Consolidation: Apply advanced technical expertise to handle complex consolidation accounts for a Public Listed Company (PLC)
Performance Analysis: Perform incisive and detailed financial analysis, providing high-level commentary on business unit and Group financial performance
Investment Oversight: Provide strategic oversight and analysis of financial performance across the Group’s investment portfolio and operating entities to support capital allocation
Treasury & Cash Flow: Manage banking relationships, comprehensive cash flow forecasting, and liquidity projections to ensure operational stability
Tax Planning & Governance: Lead Group tax planning for business units, managing risks and coordinating with external advisors on complex tax matters
Liaison & Coordination: Act as the primary point of contact for overseas business units, auditors, tax advisors, bankers, lawyers, and company secretaries
Operational Insight: Analyze operations data to optimize cost efficiency and provide actionable recommendations to the Group CFO
Process Strengthening: Review and implement robust finance operating processes, internal control procedures, and policy frameworks to ensure group-wide compliance
Audit Remediation: Drive continuous improvement by addressing internal audit findings, ensuring timely closure of issues and sustainable enhancement of SOPs
Requirements:
Bachelor’s degree in Accounting or a related discipline
Minimum 10 years of relevant working experience
At least 5 years in a managerial or leadership capacity
Proven experience in a Public Listed Company (PLC) or a Big Four audit firm is highly preferred
Strong mastery of P&L analysis, tax, and cash flow management
Experience in Group consolidation
Deep familiarity with financial regulations and statutory compliance requirements
High integrity with a strong sense of urgency and a results-oriented mindset
Excellent interpersonal and communication skills to manage stakeholders at all levels of the organization
Ability to thrive under pressure and meet tight deadlines while maintaining meticulous attention to detail