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| 勤務地 | イギリス, London |
| 雇用形態 | 正社員 |
| 給与 | 経験考慮の上、応相談 |
A key financial reporting and controlling role supporting EMEA treasury entities. This position manages forecasting, budgeting, financial reporting and audit coordination, ensuring high-quality financial governance across treasury operations.
Role OverviewThe Treasury Controller owns financial planning and reporting processes, including budgets, forecasts, actuals and SG&A. The role is the main contact for internal and external audits and supports treasury-related accounting, controls and documentation.
Key ResponsibilitiesLead forecasting, budgeting, SG&A controlling and variance analysis
Manage monthly, quarterly and annual close processes
Prepare annual financial statements and coordinate disclosures and approvals
Act as primary audit contact, managing evidence and timelines
Support substantiation of cash pooling, credit lines, bank accounts and intercompany balances
Assist with derivative valuation and financial instrument reporting
Maintain audit-ready documentation and improve controls and reporting procedures
Contribute to the development of treasury controls and processes
Degree in finance, accounting, controlling or similar
5+ years’ experience in controlling, accounting, audit or treasury reporting
Professional qualification (ACA/ACCA/CIMA) preferred but not essential
Strong understanding of budgeting, forecasting, month-end close and group reporting
Knowledge of audit processes and internal controls
Treasury accounting experience (cash pooling, credit lines, derivatives) preferred
Fluent English; Japanese language skills beneficial but not required
Highly structured and reliable, with strong deadline management
Excellent attention to detail and data reconciliation skills
Confident communicator in audit-facing situations
Collaborative team player
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| 職務経験 | 3年以上 |
| キャリアレベル | 中途経験者レベル |
| 英語レベル | 流暢 |
| 日本語レベル | 無し |
| 最終学歴 | 短大卒: 準学士号 |
| 現在のビザ | 日本での就労許可は必要ありません |
| 雇用形態 | 正社員 |
| 給与 | 経験考慮の上、応相談 |
| 業種 | その他(メーカー) |