Head of Finance

Head of Finance

Hanau Vollzeit 63000 - 77000 € / Jahr (geschätzt) Kein Homeoffice möglich
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Auf einen Blick

  • Aufgaben: Leite die finanziellen Operationen und unterstütze das Management mit wertvollen Analysen.
  • Unternehmen: Wachsendes Unternehmen im Bereich Datenmanagement mit Fokus auf Innovation.
  • Vorteile: Attraktives Gehalt, flexible Arbeitszeiten und Entwicklungsmöglichkeiten.
  • Weitere Informationen: Möglichkeit zur persönlichen und beruflichen Weiterentwicklung in einem schnelllebigen Umfeld.
  • Warum dieser Job: Gestalte die finanzielle Zukunft eines dynamischen Unternehmens und führe ein engagiertes Team.
  • Qualifikationen: Masterabschluss in Finanzen und mindestens 10 Jahre Erfahrung im Finanzbereich.

Das prognostizierte Gehalt liegt zwischen 63000 - 77000 € pro Jahr.

The Head of Finance Germany will be responsible for structuring, managing, and consolidating the financial operations of the German entities to ensure the robust development of Data4’s activities in Germany.

They will support Local and Group’s Management by providing financial insight, performance analysis and accurate guidance to drive profitable growth and operational efficiency.

The role combines traditional financial controlling responsibilities with business partnering, ensuring that financial performance is understood, risks are managed, and strategic decisions are supported by robust financial analysis.

Structure the accounting organisation.

Ensure the quality of accounting entries in the system, covering suppliers, clients, payroll, income, Opex, Capex, and other transactions.

Ensure accurate invoicing and cash collection.

Complete monthly, quarterly and annual closings under local GAAP and IFRS (quarterly consolidation package).

Contribute to Financial fast close set up.

Manage relationships with German auditors up to the issuance of audit reports (Group audit and local statutory audits).

Lead tax declaration processes with the assistance of external accountants and challenge tax opportunities.

Organize and ensure timely suppliers’ payments.

Monitor monthly budget execution (Revenues, Opex, CAPEX) in close interaction with the relevant departments at the headquarters and in the campuses.

Prepare and oversee the budgeting and reforecasting process in collaboration with the concerned departments.

Optimise Capex, Opex costs and cash and propose any relevant action to improve entity’s financial performance.

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.

Approve spending commitments in line with Group policies.

Conduct ad-hoc analyses and studies, particularly supporting the sales department (e. g., customer profitability).

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.

Organize and plan the team’s activities, including OSP.

Ensure scalability of the organization to support fast strategic development of the organization.

Set and monitor individual and collective objectives.

Ensure team members’ skills development.

Requirements

  • Master’s degree in Finance, Accounting, or Business Administration.
  • Minimum of 10 years of experience in corporate finance.
  • Managerial experience leading small teams.
  • Experience in a Finance & Accounting firm.
  • Excellent knowledge of accounting, taxation, and best practices in financial control.
  • Familiarity with accounting, FP&A, treasury processes and software.
  • Fluent in English.
  • Experience of Consolidation and reporting systems (One Stream, for example); Microsoft Office.
  • Experience in project and team management.
  • Core Competencies

Demonstrates expertise in financial operations management, including accounting, budgeting, and financial analysis, while ensuring compliance with local GAAP and IFRS.

Proven ability to lead teams, optimize financial performance, and implement internal controls and SOX procedures.

  • Highest-signal resume keywords
  • Financial Operations Management
  • Accounting and Taxation Expertise
  • Consolidation and Reporting Systems
  • Team Leadership and Development
  • Budgeting and Performance Analysis
  • ATS Optimization Keywords
  • Hard Skills
  • Financial Analysis
  • Budgeting
  • Accounting
  • Taxation
  • Consolidation
  • Cash Flow Forecasting
  • FP&A
  • Opex Optimization
  • Capex Management
  • Internal Control Best Practices
  • Soft Skills
  • Team Leadership
  • Communication
  • Collaboration
  • Analytical Thinking
  • Problem Solving

Certifications & Qualifications

  • Master’s Degree in Finance
  • Master’s Degree in Accounting
  • Master’s Degree in Business Administration
  • Industry Keywords
  • Corporate Finance
  • Financial Controlling
  • GAAP
  • IFRS
  • SOX Compliance
  • Financial Reporting
  • Audit Management
  • Treasury Processes
  • Tools & Technologies
  • One Stream
  • Microsoft Office
  • Finance Software
  • #J-18808-Ljbffr

Head of Finance Arbeitgeber: Jobtailor

Als Global Director B2B – Business Development bei uns profitieren Sie von einer dynamischen und innovativen Arbeitsumgebung, die auf Zusammenarbeit und Kreativität setzt. Wir bieten Ihnen nicht nur attraktive Vergütungsmodelle und umfassende Weiterbildungsmöglichkeiten, sondern auch die Chance, in einem internationalen Team zu arbeiten, das Vielfalt und persönliche Entwicklung fördert. Unsere Unternehmenskultur legt großen Wert auf Flexibilität und Work-Life-Balance, sodass Sie Ihre Karriereziele in einem unterstützenden Umfeld erreichen können.

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Kontaktdaten:

Jobtailor Recruiting-Team

Wir glauben, dass du diese Fähigkeiten brauchst, um Head of Finance mit Bravour zu bestehen

Finanzanalyse
Budgetierung
Buchhaltung
Steuerrecht
Konsolidierung
Cashflow-Prognose
FP&A