Aktiviere Job-Benachrichtigungen per E-Mail!

Regional Financial Controller

ACCA Careers

Frankfurt

Hybrid

EUR 70.000 - 90.000

Vollzeit

Vor 3 Tagen
Sei unter den ersten Bewerbenden

Zusammenfassung

A global mobility services company is seeking an experienced Regional Financial Controller to manage finance activities across Austria, Germany, and Switzerland. Key responsibilities include overseeing budgeting and forecasting processes, ensuring compliance with policies, and supporting month-end and year-end closing activities. The role requires strong analytical skills, fluency in German and English, and significant experience in a professional services environment. This is a hybrid position based in Frankfurt.

Leistungen

Hybrid working three days a week

Qualifikationen

  • Significant experience with a professional services company or Big 4 firm.
  • Experienced in preparing budgets, forecasts, and financial analysis.
  • Fluency in German & English is a must.

Aufgaben

  • Coordinate all activity for annual budgets, periodic forecasting, and business plan updates.
  • Assist in the preparation of monthly operating reviews.
  • Provide management reporting to Market and business unit leadership.
  • Support month-end and year-end closing activities.

Kenntnisse

Strong business acumen
Analytical skills
Excellent communication skills
Collaborative approach
Proactive mindset

Ausbildung

Bachelor’s degree in Accounting or Finance
Formal accounting qualification

Tools

SAP 4/HANA

Jobbeschreibung

Company background

Vialto Partners is a market leader in global mobility services. Our purpose is to ‘Make global work feel borderless and boundless”. We are unique and the only stand-alone global mobility business. This presents a rare opportunity for our clients, stakeholders and colleagues.

Our teams help companies streamline and effectively manage their global mobility programs in a cost-efficient and compliant manner. Our services focus on providing cross-border compliance and risk assessment for tax, immigration, business travel, rewards and compensation, and remote work.

Working at Vialto Partners is about getting the chance to be part of a global and dynamic team. Globally, Vialto Partners has over 6,500 staff in over 50 countries around the world and continues to grow. We work with clients from a range of industries and different geographical locations. We believe in connecting the world and supporting our colleagues to do the same in their careers by undertaking assignments and opportunities globally that broaden their skills and ultimately benefit our clients.

Vialto is unstoppable when we work together in a culture of belonging, where everyone can thrive. We encourage employees to bring their true selves and share their unique talents and expertise to positively impact the communities we serve.

Summary Of Role

Are you ready to elevate your career in a dynamic tech scale-up environment? We are on the lookout for an experienced and proactive Regional Financial Controller to join our international team. In this pivotal role, you will be a key partner to local Market Leader supporting Austria, Germany and Switzerland Markets, being responsible for all finance activities within the Market, collaborating with client engagement teams, supporting working capital management & month-end and year-end closing activities.

Major Responsibilities

  • Coordinate all activity for annual budgets, periodic forecasting, and business plan updates.
  • Assist in the preparation of monthly operating reviews, including analysis of historical financials, variance explanations, updated forecasts with risks and opportunities to current plan, and key performance indicators.
  • Provide management reporting to Market and business unit leadership, including variance analysis to demonstrate how the budget/forecast and prior period compares against actual performance.
  • Support month-end and year-end closing to fulfil both internal reporting and external statutory reporting
  • Ensure regular client billing takes place, identifying opportunities to minimise WIP
  • Ensure accurate revenue recognition through regular WIP reconciliations, quarterly attestation and minimising aged WIP
  • Monitor and drive achievement of performance targets such as billing and collection goals, staff utilization, margin analysis, VVN utilisation, etc.
  • Act as the local contact for all queries / requests from the centralised debt collection team
  • Coordinate and communicate with Tax Authorities, Tax Advisors, Auditors and Banks
  • Investigate and resolve any finance or admin queries raised by the client engagement team, working with other finance departments and IT
  • Collaborate with Group functions such as Legal, Tax and HR on regulatory and statutory compliance when required.
  • Ensure local compliance with all Group policies and processes, reporting all material issues or non-compliance to regional management
  • Deliver ad-hoc analysis and projects as requested by territory leader or Europe CFO
  • Ensuring that all monthly reports and filing to various government bodies such as tax return filing, statistics reporting are completed accurately and on time
  • Support in audits, including both internal and external

Desired Capabilities And Skills

  • Strong business acumen and focus on working capital management
  • Practical and commercial approach to problem solving or analysis
  • Analytical and results oriented
  • Proactive; always a self-starter
  • Excellent written and oral communication skills, including good command of spoken and written English
  • Collaborative and diplomatic approach when dealing with Business Leadership, the Controller organization, Treasury, Tax, IT, or colleagues
  • Able to leverage available technology tools

Education / Training / Experience

  • Significant experience with a professional services company or Big 4 firm desirable
  • Experienced in preparing budgets, forecasts, and financial analysis
  • Detailed understanding of accounting processes (revenue recognition, billing, working capital management, AP, payroll, corporate expense allocations and intercompany)
  • Bachelor’s degree, preferably Accounting or Finance
  • Formal accounting qualification desirable
  • Fluency in German & English is a must
  • Knowledge of SAP 4/hana desirable
  • Experience in drafting Statutory Accounts under local GAAP
  • Experience in US GAAP desirable

Additional Information

  • Regular, full-time role
  • Hybrid working out of Frankfurt office 3 days as agreed with CFO / Market Leader

For further information, and to apply, please visit our website via the “Apply” button below.
Hol dir deinen kostenlosen, vertraulichen Lebenslauf-Check.
eine PDF-, DOC-, DOCX-, ODT- oder PAGES-Datei bis zu 5 MB per Drag & Drop ablegen.