Description
The role is responsible for consolidating financial results, managing budgets and forecasts, analyzing variances, supporting accounting close, preparing management reports, responding to audits, and improving financial processes through automation, dashboards, and KPIs. It requires extensive experience in controllership, financial planning, budgeting, financial analysis, and accounting close, along with knowledge of ERP systems, BI, advanced Excel, and accrual-basis accounting. The position offers a Monday-to-Friday, 40-hour schedule with a hybrid arrangement requiring on-site work three days per week.
