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Financial Controller- FinTech- Paris, France- TWE42322

twentyAI

Paris

Hybride

EUR 80 000 - 100 000

Temps partiel

Il y a 14 jours

Résumé du poste

A leading fintech firm is seeking a Financial Controller to support financial reporting and controls. This role involves leading month-end closings, ensuring compliance with IFRS, and improving accounting processes. Ideal candidates will have a degree in Finance or Accounting and experience in regulated markets. The position is a 4-month contract with potential for permanence and offers hybrid working arrangements, with a day-rate up to €400.

Qualifications

  • Minimum 3-5 years’ experience in financial control or accounting roles.
  • Strong knowledge of IFRS and consolidated reporting standards.
  • Experience working in regulated markets and banking.

Responsabilités

  • Prepare consolidated general ledger accounts under IFRS using ERP Oracle NetSuite.
  • Lead the month-end closing process for the EU holding company.
  • Ensure timely and accurate financial reporting on a monthly and annual basis.

Connaissances

Knowledge of IFRS
Financial reporting
Process improvements
Experience in banking
ERP system experience

Formation

University degree in Finance, Accounting, or Economics

Outils

ERP Oracle NetSuite

Description du poste

twentyAI is partnering with a fast-growing global fintech to hire a Financial Controller. As the business expands across Banking, Insurance, and Trading in the EU, this pivotal role will support consolidated financial reporting and controls across multiple entities.

You’ll be working directly with senior finance leadership and play a key part in ensuring accuracy, compliance, and strategic insight in a high-growth, fast-paced environment.

This is a 4-month contract with a view to permanent, offering 1–2 days hybrid working.

Day-rate up to €400

Key Responsibilities

  • Prepare consolidated general ledger accounts under IFRS using ERP Oracle NetSuite
  • Lead the month-end closing process for the EU holding company and its subsidiaries
  • Ensure timely and accurate financial reporting on a monthly and annual basis
  • Analyse changes in key general ledger accounts and deliver insights
  • Maintain and update accounting policies in line with IFRS and group standards
  • Identify and implement process improvements and automation opportunities
  • Support accounting setup for new EU branches
  • Participate in interim and annual audits
  • Provide expert guidance on accounting and reporting matters
  • Contribute to the development of financial control processes and consolidation procedures

Requirements

  • University degree in Finance, Accounting, or Economics
  • Experience working in regulated markets and banking
  • Minimum 3-5 years’ experience in financial control or accounting roles
  • Strong knowledge of IFRS and consolidated reporting standards
  • Background in banking, ideally with cross-border or international exposure
  • Thrive in fast-paced, entrepreneurial environments with a hands-on, self-starting approach and strong focus on execution
  • Experience with ERP systems, preferably Oracle NetSuite

If you or someone in your network is interested, please send a CV and contact details to Max Anderson at max.anderson@twentyai.com

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