Senior Finance Manager – Luxemburg
Key Responsibilities
Reporting to the Group Accounting, Consolidation & Finance Transformation Director. The Senior Finance Manager will be responsible for structuring, managing, and consolidating the financial operations the Corporate entities in Luxemburg.
Responsibilities
Accounting for Lux
- Structure the accounting organisation
- Ensure the quality of accounting entries in the system, covering external and interco financing activities, OPEX and costs of M&A projects
- Complete monthly, quarterly and annual closings under local GAAP and IFRS in a timely manner (quarterly consolidation package)
- Contribute to Financial fast close set up
- Manage relationships with Local auditors up to the issuance of audit reports (Group audit and local statutory audits).
Tax
- Lead tax declaration processes with the assistance of external advisors and support the challenge of tax opportunities managed by Head of Tax
- Support ad-hoc analyses and studies, particularly in close relationship with Tax Department (Transfer prices documentation) and Treasury Department
- Ensure Tax compliance
- Collaborate with other departments and coordinate all corporate finance structuring
Financial Control of Lux Entities
- Monitor monthly budget execution (Opex, Financing) in close interaction with the relevant departments at Corporate level.
- Prepare and oversee the budgeting and reforecasting process in collaboration with the concerned departments.
- Produce monthly performance analyses, dashboards, and activity reports for the finance department and executive committee.
- Contribute to optimizing the use of the finance system and participate in automating dashboard production.
- Prepare monthly cash flow forecasts and propose optimization.
Internal Control
- Organize the financing activities with a strong attention to internal control best practices and internal guidelines
- Approve spending commitments in line with Group policies
- Implement SOX procedures and documentation according to the yearly SOX group roadmap
Management of the Finance Organization
- Organize and plan the team’s activities, including OSP
- Ensure scalability of the organization to support fast strategic development of the organization
- Implement financing structuring collaboratively with Data4 Group departments
- Set and monitor individual and collective objectives.
- Ensure team members’ skills development.
Certification Responsibilities
- Health & Safety: Enforce hygiene, health, and safety rules.
- Environment: Enforce environmental policies.
- Information Security: Enforce information security policies.
- Energy: Enforce energy reduction policies.
Profile
Education and Experience
- Master’s degree in Finance, Accounting, or Business Administration (Ideally CPA qualified)
- Experience in a Audit / Accounting firm.
- Minimum of 15 years of experience in corporate finance.
- Managerial experience leading small teams.
Technical Skills
- Excellent knowledge of accounting, consolidation, tax and best practices in financial control.
- Familiarity with accounting and treasury processes and softwares; experience of Consolidation and reporting systems (OneStream, for example); Microsoft Office
- Fluent in English and French.
- Experience in project and team management.
General Skills
- Rigor and methodical approach, detailed oriented.
- Adaptability and responsiveness.
- Open-minded.
- Organizational skills, with the ability to manage priorities and deadlines.
- Entrepreneurial spirit.
- Ability to synthetise.
- Strong communication skills, both oral and written.