The Finance Manager for the iAM Group is responsible for overseeing the full spectrum of financial services—including accounting, planning, compliance, and reporting—for business units operating outside Oracle systems. This role ensures financial integrity, operational efficiency, and strategic alignment across all supported entities.
Hybrid
1. Accounting & Period-End Close
- Lead and coordinate monthly, quarterly, and annual financial close processes.
- Ensure timely and accurate journal entries, accruals, and reconciliations.
- Manage general ledger integrity and chart of accounts for non-Oracle entities.
- Oversee intercompany transactions, eliminations, and balance confirmations.
- Prepare and review trial balances, P&L, and balance sheet statements.
- Ensure compliance with USGAAP/local GAAP and internal accounting policies.
- Liaise with external auditors and manage audit deliverables and walkthroughs.
- Maintain and improve closing calendars, checklists, and documentation standards.
2. Financial Planning & Analysis (FP&A)
- Support budgeting, forecasting, and long-range planning cycles.
- Analyze variances and trends to support business decisions.
- Develop financial models and scenario analyses for strategic initiatives.
3. Treasury & Cash Management
- Monitor and forecast cash flow, liquidity, and working capital needs.
- Ensure compliance with treasury policies and internal controls.
4. Tax & Compliance
- Coordinate tax filings, VAT returns, and statutory reporting.
- Support tax audits and liaise with internal and external tax advisors.
- Ensure compliance with local tax regulations and transfer pricing policies.
- Design and enforce financial controls tailored to non-Oracle environments.
- Conduct risk assessments and implement mitigation strategies.
- Support internal audits and remediation of control deficiencies.
6. Systems & Process Optimization
- Identify and resolve inefficiencies in financial processes and reporting.
- Lead automation initiatives and system enhancements for non-Oracle entities.
- Collaborate with IT and operations to ensure data integrity and integration.
7. Business Partnering
- Act as a trusted advisor to business leaders across supported entities.
- Provide financial insights to support commercial and operational decisions.
- Align finance support with business priorities and growth plans.
- Lead and mentor a geographically distributed finance team.
- Foster a culture of accountability, collaboration, and continuous improvement.
- Drive cross-functional initiatives and change management efforts.
Qualifications
Bachelor’s degree in Finance, Accounting, or related field (CPA, ACCA, or MBA preferred).
8+ years of progressive finance experience, including leadership roles.
Strong knowledge of accounting standards and financial operations.
Experience managing entities outside Oracle ERP environments.
Excellent analytical, communication, and stakeholder management skills.
Benefits
- Competitive compensation package including annual bonus.
- 30 working days' vacation annually in addition to public holidays.
- Pluxee supplement.
- A pension scheme with employer contribution.
- Employee Stock Purchase Program.
- Enjoy complimentary coffee and tea throughout the day, and take advantage of our on-site restaurant.
- International working environment.
- All the equipment you need to succeed.
- A work environment that values trust, respect, and growth.
Interested?
Send us your application in English; we accept applications exclusively over our career portal. We regret that we may exclusively consider candidates with working permits for Germany.