Senior Manager – Financial Consolidation & FX Risk

Added
7 days ago
Type
Full time
Salary
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Related skills

netsuite ifrs financial consolidation ifrs 9 treasury management
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📋 Description

  • Direct global foreign currency translation (CTA), remeasurement, and intercompany accounting across
  • Lead complex multi-currency monthly close operations for subsidiaries across multiple parts of the
  • Partner with Treasury to design, execute, and monitor balance sheet and cash flow hedging
  • Drive finance and treasury transformation initiatives, including ERP (NetSuite) and Treasury
  • Advise on international intercompany financing, net investment hedging strategies, and settlement
  • Deliver insightful foreign exchange analyses and project updates to board members, audit

🎯 Requirements

  • 7+ years of hands-on experience in global financial consolidation, FX accounting, and treasury
  • Proven background managing subsidiaries from multiple parts of the world to consolidate, handling
  • Deep technical knowledge of IFRS, specifically IAS 21 (Effects of Changes in Foreign Exchange
  • Strong hands-on experience with ERP (NetSuite) and Treasury Management Systems (TMS).
  • Proven ability to manage complex multi-currency accounting processes or lead system change
  • Bachelor’s degree in Finance or Accounting; ACCA, ACA, CPA, CTP, or PMP designation preferred.

🎁 Benefits

  • Competitive Starting Salary with an annual discretionary bonus
  • Dedicated Mentorship
  • Cutting-Edge Technology
  • Clear, Accelerated Career Progression
  • Dynamic & Supportive Culture
  • Generous Benefits Package
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