Head of Financial Controlling (m/f/d) at LHH Recruitment Solutions
Schönefeld, , Germany -
Full Time


Start Date

Immediate

Expiry Date

19 Nov, 25

Salary

0.0

Posted On

20 Aug, 25

Experience

7 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

Are you interested in a new professional challenge that suits you, your circumstances and your personal career and development plan? Then you’ve come to the right place!
For our client, a company in the investment/real estate sector, we are looking for a Head of Financial Controlling (m/f/d) in Berlin Schönefeld at the earliest possible date.
Apply now and get to know us - we look forward to accompanying you as you move forward on your professional journey!

How To Apply:

Incase you would like to apply to this job directly from the source, please click here

Responsibilities
  • Supervise and coordinate the financial reporting process: confirm the accruary of the financial information being reported, perform high-level checks to identify and correct errors, ensure smoothness of financial reporting processes and design new measure to improve them
  • Understand the key financial issues of each company within the portfolio and make sure they are properly addressed and managed
  • Assist and prepare cash flow projections and other information needed for the proper cash management of the Portfolio
  • Prepare, on a quaterly basis, financial reports and presentations to the Board of Directors with an emphasis on key indicators and measures for improvement
  • Elaborate on a quarterly basis the group reporting packages for all the entities included in the perimeter
  • Supervise, coordinate and guide the accounting process in close coordination with the Senior Accountant
  • Perfom loan compliance activities, including communication with the Agent and Lender, when needed, making sure that all financial obligations are properly met
  • Monitor intercompany and other corporate movements such as mergers, increase/decrease of share capital, dividend distribution, etc.; including any tax impact derived from that in close collaboration with the tax advisor
  • Lead liason with the external auditor
  • Supervise and perform, when needed, the preparation of annual financial statements
  • Participate in the appraisal process of the assets of the portfolio, in close collaboration with the asset management team and the external appraiser
  • Collaborate with the investment and asset management team, as well as with external advisors, on strategic processes needed for the proper implementation of the Business Plan
  • Close collaboration with executive management and support in strategic financial decision-making
  • Leadership and development of a small finance team
Loading...