Corporate Controller, EMEA (Hybrid)

at  GTreasury

DUBLIN 2, County Dublin, Ireland -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate19 Jan, 2025Not Specified19 Oct, 20245 year(s) or aboveFinanceNoNo
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Description:

CORPORATE CONTROLLER, EMEA (HYBRID)

GTreasury is the pioneer and global leader in cloud-based Treasury Services for the Office of the CFO. For nearly 40 years, GTreasury has delivered industry leading solutions spanning cash, payments, debt, derivatives, investments, and exposures across a scalable platform of fit-for-purpose solutions. Trusted by over 800 customers across 160 countries, GTreasury provides treasury and finance teams with the ability to connect, compile, and manage mission-critical data to optimize cash flows and capital structures.
GTreasury is seeking a detail-oriented and strategic Controller to lead our financial operations across the EMEA region. The ideal candidate will have extensive experience in financial management, reporting, and compliance within a multinational environment. You will play a key role in driving financial performance, ensuring accuracy in reporting, and providing insights to support business decisions.
This role will oversee the financial inputs for multiple entities in the EMEA region and ensure compliance with local audit and tax requirements. Additionally, this role will be a member of the EMEA executive leadership team and will help drive corporate governance across the business. To be successful in this role, you will collaborate with the broader Finance team located at our US HQ and report to the VP of Finance.
The role will also partner with our GM in EMEA for local financial reporting needs and special projects. Our ideal candidate is an experienced accounting professional with demonstrable leadership skills and 5+ years of related experience.

EDUCATION REQUIREMENTS:

  • Bachelor’s degree in Accounting, Finance or related field strongly preferred

Responsibilities:

  • Review general ledger postings, month-end reconciliations, and intercompany activity for alignment to budget and forecast, across multiple entities
  • Support FP&A on creation of budget and forecast, prepare and review regional financial reporting
  • Ensure compliance with local statutory reporting and audit requirements in multiple jurisdictions
  • Manage the preparation of all local tax returns and manage overall tax compliance, including VAT
  • Liaison with HR and support EMEA payroll processes in multiple jurisdictions
  • Partner with the Sales team on customer pipeline, renewal, billing, collection, and disputes processes
  • Provide executive leadership in the EMEA region
  • Facility management and administration
  • Champion corporate governance of existing policies and procedures


REQUIREMENT SUMMARY

Min:5.0Max:10.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Accounting finance or related field strongly preferred

Proficient

1

DUBLIN 2, County Dublin, Ireland