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Group Finance Controller
 20 years


Job Description : GROUP FC AMSTERDAM NETHERLANDS Said role is open to qualified candidates from overseas as well Repeats Group (recycling plastics) is a multinational organization with plants across Europe and HQ in Paris and Senior Finance Team based in Amsterdam. Company: Repeats Group is based across Europe, we use plastic film waste (polyethylene) and turn it into clean pellets that can be used to engineer multiple new products. That takes a professional and cheerful team, motivated by reducing CO2 and keeping oceans clean. With 5 plants, our head offices and several commercial representations, we are active in 30+ countries. You will be part of the senior finance team together with the Group Business Controller and CFO. Responsibilities 1. Consolidation and Accounting Lead the consolidation of group accounts and coordinate external audit. Oversee the accounting activities of three holding entities. Implementation of consolidation and reporting tools Optimize accounting and reporting processes. 2.Treasury and Cash Management Cash management responsibilities for both holding companies and the entire group, including cash forecasting. Monitor group indebtedness 3. Tax and transfer pricing Coordinate transfer pricing activities strategies in 2024, complementary to Group Business Control. Ensure tax compliance across all Group entities 4. ESG/Risk/Compliance Reporting Drive Environmental, Social, and Governance (ESG) reporting initiatives. Coordinate, take care of basics, ESG roadmap and dashboarding of ESG activities. 5. Stakeholder management Stakeholder management towards the local Management teams and the Group shareholder. Contribute to the development of the finance community within Repeats. Holds a master's degree in accounting, controlling, or accountancy, with preference for a RA/CA/CPA. Knowledge of IFRS or Dutch GAAP. At least 20+ years of experience in finance, preferably within an international group. Strong knowledge of consolidations and hands-on experience. Familiarity with treasury and cash management. Fluent in English, French/Italian/Spanish is a plus. Previous experience with Dynamics 365 for holding company accounting is a plus. Ability to manage complexities, agility, and a proactive approach to challenges.

 Country : Netherlands
 
Posted on : 05-03-2024

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