Group Financial Controller

London

We are looking for an experienced Group Financial Controller to manage all aspects of global financial management, including corporate accounting, regulatory and financial reporting, UK and group aspects of international tax compliance, improving processes and controls, and driving automation. This is a role at the very centre of finance and you will be joining at an exciting time for the Paysend Finance team.

This role is hybrid with 1-2 days a week expected to be at an office location. The candidate needs to be based within commutable distance to London. The candidate will be leading a sizeable (10+) team of accountants and settlement specialists, and is expected to guide and nurture their development. 

Experience

Role

  • Management of day-to-day finance function including preparation of consolidated management and statutory accounts (for the Group and individual entities)
  • Overseeing all financial control activities, e.g., month-end close process, preparation and review of management accounts, comprehensive balance sheet substantiation
  • Understanding of payments business processes and development of systems and procedures to ensure strong financial controls are maintained. Understanding the flow of funds for new and existing products and how they should be accounted for.
  • Approval of corporate payments and related cash flow management
  • Assisting the compliance and treasury teams with regulatory and safeguarding reporting, including ownership of financial data
  • Monitoring the capital adequacy in the UK and selected overseas jurisdictions
  • Ensure the reliability of the financial reporting (internal and external reporting)
  • Prepare the accounts for company entities by applying all the valuations and accounting rules laid down by the relevant accounting laws and regulations
  • Function as the lead contact with the external auditors, facilitating the yearly audit process with a proactive approach
  • Manage statutory tax reporting for indirect and direct taxation, both in UK and for selected foreign subsidiaries
  • Report on and manage cash flow in conjunction with Treasury
  • Supervise and manage financial control team
  • Drive and participate in key finance and company-wide projects and initiatives
  • Working closely with senior management team including founders

Mandatory:

  • Strong people leader who can evidence development of staff
  • Very strong focus on controls, process improvement and a high attention to detail
  • High degree of resilience and ability to multi-task
  • Results delivery mind-set
  • Comfortable working with multi-currency, multi-entity environment and preparing consolidated accounts
  • Strong analytical skills, IT literacy (incl advanced Excel) and aptitude for continuous learning
  • Ability and desire to take on automation projects and challenges
  • Up-to-date technical skills and confident preparing IFRS and GAAP financial statements
  • Good working / practical knowledge of direct and indirect taxation
  • The ability and experience to work closely with external advisers (audit and accounting)
  • Excellent written and verbal communication
  • Fully qualified Accountant (ACA / ACCA) with at least 5 years post qualification experience
  • Ability to travel from time to time to other global offices as required 

Desirable:

  • High growth tech experience (preferably FinTech), as well as having experienced best practice in a larger organisation
  • Previous exposure to regulated / financial services entity environment
  • High energy and creativity, an entrepreneurial spirit and the ability to work autonomously in a fast growth and changing environment

 

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