MIXER Global
Luxembourg City
il y a 9j
source : monster

HEAD OF FINANCE Background : MIXER Global is an operator of premium co-working spaces and business lounges. Originating in Israel, the group is establishing operational headquarters in Luxembourg and is seeking to open new sites in the EU and US.

MIXER Global is a growing community with a vibrant team, and this is an opportunity to work in an inspiring and innovative environment.

The Role : We are looking for an experienced Head of Finance to oversee all financial aspects of the business and drive the company’s financial reporting and business partnering function as it grows.

Initially a hands-on role with a broad remit, we envisage that in time business growth will allow for this individual to grow a finance function around them.

The role is unique as the incumbent will need to be equally comfortable in dealing with the minutiae as well as the strategic end of the business they support.

You will be responsible for preparing management and financial accounts, together with assessing the financial performance and possible risks across all jurisdictions to report to management and investors.

As Head of Finance, you are a reliable professional with broad knowledge of all accounting, financial and business principles.

You are also a strategic thinker who can participate in all decision-making processes. The goal is to work closely alongside management, which includes the Founders and Investors, to help the company grow, maintain profitability, liquidity and achieve long-

term success. The position will be based in our offices in Luxembourg and will involve regular visits to other offices. Responsibilities : Operational Responsible for reporting, results analysis and forecasting Receive local accounts from each jurisdiction and processing the monthly close, general ledger, and consolidation activities Prepare detailed budgets and monitor all expenditure Prepare timely and detailed reports on financial performance on a quarterly and annual basis Liaise with advisors / administrators on monthly, quarterly and annual VAT returns and Corporate Income Tax filings Oversee all audit and internal control operations Prepare mid-

term planning and opportunities and risks analysis Drive the financial planning of the company by analyzing its performance and risks Prepare cash flow forecasts Prepare Capex budgets and monitor project expenditure Review year-

end financial statements Strategic Prepare analyses to assess new co-working sites and locations Conduct regulatory reporting (BEPS, ATAD) Focus on strategic issues, special projects, business analysis, and competitor comparisons Provide insights and actions that actively support sustainable value generation Retain constant awareness of the company’s financial position and act to prevent problems Act as a financial advisor to the Board of Directors Ensure adherence to financial laws and guidelines Your profile : Qualified accountant At least 6 years’ experience in commerce Proven experience as Head of Finance or similar role In-

depth knowledge of accounting principles, reporting, laws and best practices Solid knowledge of financial analysis and forecasting Proficient in the use of MS Office and financial management software Your skillset : Excellent organizational and leadership skills Outstanding communication and interpersonal abilities in a multicultural environment Fluent English Pragmatic and commercial Organized, rigorous and disciplined Fast-

paced, flexible and resilient Good business analysis and problem-solving skills Energy, dynamism, and passion for complex business challenges

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