Our Head of Finance is looking for a Finance Manager to serve as a true right-hand in the daily financial operations. This is a strategic role requiring both operational excellence and strong analytical thinking.
You will take ownership of key financial deliverables including reporting, team coordination, and process improvement. You will act as a partner to the Head of Finance and other stakeholders, ensuring timely and accurate financial reporting while driving efficiencies and supporting decision-making.
Key Responsibilities
Financial Leadership & Reporting
- Act as the primary back-up to he Head of Finance and step in when required;
- Own the monthly accounting close process, ensuring accuracy, reliability, and timeless of consolidated reporting to group level;
- Prepare and deliver complete year-end financial statements, in compliance with local and IFRS standards (IFRS 16);
- Lead the preparation and review of management reporting, including KPI dashboards and variance analysis;
- Ensure compliance with VAT Filings, Tax returns and manage preparation of audit documentation for external auditors.
Controlling & Analysis
- Drive the budgeting process, coordinate planning inputs, and perform variance analyses with key stakeholders;
- Review financial performance, explain kye trends, and provide insight to support strategic decisions;
Process & Systems Optimization
- Lead the review and optimization of accounting and finance processes (e.g., closing, invoicing, bank, budget tracking);
- Support the digitalization of finance, including tool implementation (e.g., ERP, Manual journal entries automations);
- Contribute to the strengthening internal controls and compliance procedures.
Team Coordination & Cross-Functional Support
- Collaborate closely with accounting, tax, Business and operations teams;
- Supervise junior team members when applicable and support professional development;
Profile
- Master's degree (BAC+5) in Finance, Accounting, Business Administration, or related field;
- Minimum 5 years experience in a similar role, ideally in a multinational or fast-paced environment;
- Solid Knowledge of Luxembourg GAP, Luxembourg corporate taxation, and VAT Rules;
- Proficiency in IFRS and experience with Management reporting processes;
- High attention to detail, strong analytical and organizational skills;
- Autonomous, results-driven, and able to meet tight deadlines under pressure;
- Strong communication skills, team spirit, and flexibility;
- Solid command of Microsoft Office Suite (especially Excel); familiarity with WorkDay, Alterix is a plus;
- Fluent in French; proficiency in English is highly desirable.
What we look for
- A builder mindset - you look for ways to improve and scale processes.
- Someone who can dive deep into financial data and extract meaningful insights.
- A strong sense of ownership and urgency when delivering results.
- A collaborative leader who uplifts others and acts as a trusted business partner.