Financial Controller

6 days ago


Aspropyrgos, Attica, Greece Standard Hidraulica Hellas Full time €60,000 - €120,000 per year

POSITION MISSION:
Management, coordination, and control of local accounting, group financial reporting, treasury, auditing, insurance, and legal/commercial aspects of the Group.

REPORTING LINE:

Group CFO , local MD

POSITION DETAILS

Key responsibilities:

  • Ensure proper accounting treatment of transactions, assets, and liabilities of the Greek subsidiary according to the local accounting framework.
  • Guarantee the correct functioning of reporting circuits and group-level consolidation.
  • Ensure an adequate level of internal control and fraud prevention.
  • Manage local treasury operations.
  • Responsible for managing and coordinating local financial audits and audit reporting for the Group's consolidated annual accounts.
  • Monitor and manage key KPIs: Cash Flow, Net Working Capital, EBITDA, Opex, margins, sales, among others.
  • Manage appropriate coverage of business-related risks through corresponding insurance policies.
  • Supervise the company's tax, legal, and commercial management.

Tasks ro perform:

  • Coordinate and manage the budget and forecasts of the Greek subsidiary and ensure their consolidation within the Group framework.
  • Organize and coordinate the Group's monthly closings.
  • Budgetary control, coordinating improvement measures at the local level.
  • Analyze and monitor the company's performance, ensuring proper accounting treatment of transactions, assets, and liabilities of the Greek subsidiary under local and consolidation frameworks.
  • Implement internal control and fraud prevention in the local subsidiary, with special focus on treasury control, payment management, and online banking.
  • Manage and control transversal risks in the Greek subsidiary.
  • Ensure legal information compliance for the Greek subsidiary.

Internal and external relations:

  • Internal relations with management teams of Group companies and the parent company.
  • External relations with advisors, banks, auditors, insurance brokers, clients, and suppliers.

REQUIRED COMPETENCIES FOR THE POSITION

Education:

  • Degree in Business Administration or Diploma in Business Studies.
  • Master's in Accounting, Finance, or similar is a plus.

Professional background:

  • Preferably experience in a Big Four firm for a minimum of 4 years or experience in a similar position for at least 7 years.
  • At least 3 years of experience in financial management, treasury, and accounting, and accustomed to working with collaborative tools, reporting systems, internal control and fraud prevention, and treasury solutions.

Personal competencies:

  • High level of spoken and written English.
  • Strong analytical skills, ability to work in a team, organizational skills, initiative, and problem-solving attitude.
  • Innovative and technologically proficient.

Motivational profile:

Financial analysis, risk aversion, results orientation and continuous improvement, emotional intelligence.