Position: Finance Controller
Department: Finance
Reporting Line: Finance Director
Role Overview
This role supports senior finance leadership by handling a broad range of accounting, budgeting, forecasting, reporting, and analytical responsibilities. The position also oversees outsourced accounting operations, including accounts receivable, accounts payable, and billing activities, ensuring accuracy, timeliness, and compliance with internal standards.
Key Responsibilities
Finance Team & Stakeholder Communication
Collaborate daily with local and regional finance teams to align on priorities and deliverables
Monitor and manage outsourced accounts payable and receivable processes
Maintain strong working relationships with commercial teams to support business and operational needs
Monthly Close & Accounting Operations
Prepare and post manual journal entries related to payroll, social insurance, accruals, taxes, and reclassifications
Reconcile cash movements related to payroll, statutory payments, and tax liabilities
Perform inventory, sales, and cost of goods sold reconciliations and variance analysis
Manage fixed asset registration and depreciation, including lease accounting requirements
Complete balance sheet reconciliations
Support tax calculations and analyze selling, general, and administrative expenses
Planning, Budgeting & Forecasting
Prepare financial forecasts and budget revisions from an accounting and compliance perspective
Deliver complete reporting packages within established timelines
Provide ad hoc financial analysis and reports as required by management
Group & Management Reporting
Input inventory and sales volume data into group reporting systems
Analyze product-level profitability and margin performance
Prepare profit and loss statements and validate reporting mappings
Report intercompany transactions and balances
Track balance sheet movements and perform reconciliations
Review submissions for accuracy and resolve reporting errors
Tax Coordination
Respond to group-level tax reporting requests and inquiries
Support external tax service providers for annual tax filings and payments
Coordinate with logistics and forwarding partners for import tax adjustments when required
Internal Controls & Audit
Implement and maintain internal control frameworks in line with global compliance requirements
Support risk mitigation initiatives for key business and financial risks
Coordinate internal and external audit activities related to finance and internal controls
Qualifications & Requirements
Minimum of three years of hands-on finance experience in a multinational organization
Strong understanding of accounting operations and financial processes
High level of professionalism and confidentiality
Demonstrated integrity, reliability, and sense of urgency
Strong communication skills with the ability to work effectively across functions and levels
Bachelor’s degree in a relevant field
Proficient in Microsoft Office applications
Business-level proficiency in English