Senior Group Finance & Reporting Expert

London, ENG, GB, United Kingdom

Job Description

Symfonia is a well-recognised brand and a leader in business ERP and payroll software solutions for SMEs in Poland. It offers business-critical FMS/ERP/Payroll/HCM software to a diversified and loyal customer base of over 50,000 SMEs. Since the completion of the carve-out from global ERP software provider Sage, Symfonia together with MidEuropa and Accel-KKR embarked on the ambitious journey to consolidate the fragmented SME enterprise software market in CEE recently completing three add-on acquisitions.

Responsibilities:



Preparation of the complete set of the standalone and consolidated financial statements for UK holding entities of Symfonia group.

Ensuring completeness and accuracy of data reflected as accounting records for each month end close cycle.

Participation in external group and standalone audits.

Preparation of financial and management reports/presentations for Board of Directors, shareholders and external lenders (covenant compliance reporting and treasury management).

Being partner for Group CFO and finance team leaders in respect of various financial projects and integration and consolidation of new subsidiaries within the group (including GAAP transitions).

Participation in implementation of consolidation and reporting tool within Symfonia group.

Cooperation with external audit and tax advisors to ensure compliance with law and regulatory requirements for UK holding entities.

Collaboration with other finance team members, demonstrating a willingness to work flexibly and ensure the team delivers to a high standard, creating an atmosphere of high performance and inclusivity.

Supporting role for UK holding entities directors in providing advisory services to subsidiaries within the group (including timesheet documentation required for transfer pricing compliance).

Support add-on acquisition First 100 Day Plans and integration workstreams including setting up consolidated reporting, completing purchase accounting, integrating or setting up finance systems, etc.

Support international treasury operations and cash flow management.

Perform ad-hoc analysis for the CFO, CEO, board of directors, and PE AKKR/MEP investment teams.

Requirements:



Solid experience in audit (BIG 4 preferred) and/or financial reporting under IFRS (UK GAAP)

Professional finance qualification - ACCA, CIMA, CFA or equivalent

Excellent analytical skills with ability to analyse and interpret financial data, draw conclusions and make recommendations

Self-starter with the ability to work independently, taking ownership and responsibility

Ability to prioritise, meet deadlines and deliver high-quality reports and solutions

Can-do attitude, a service mindset and proactive in responding to requests.

Advanced Excel knowledge and skills

Fluency in English

Nice to have:



Experience in FP&A / strategic finance

Command of Polish

Familiarity with ESG reporting standards

What we offer:



Permanent employment contract

Competitive salary

Unique opportunity to cooperate with two well-known private equity funds

Flexible working options based hybrid model

Professional development opportunities in international environment

Job Type: Full-time

Pay: 75,000.00-95,000.00 per year

Additional pay:

Performance bonus
Benefits:

Work from home
Schedule:

Monday to Friday
Language:

Polish (preferred)
Work Location: Hybrid remote in London SW1H 9BU

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Job Detail

  • Job Id
    JD3102431
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Contract
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    London, ENG, GB, United Kingdom
  • Education
    Not mentioned