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Manager, Financial Control & Treasury

Integris Composites B.V.

IND sponsorRemote – EMEA/US

About the role

We are seeking an experienced Manager, Financial Control & Treasury to lead Group financial consolidation, reporting and treasury activities across our international business. Reporting directly to the Chief Financial Officer, this role is responsible for ensuring accurate and timely Group financial reporting while supporting treasury operations, financing, governance, tax coordination and financial risk management. Working closely with finance teams across multiple countries, you will help strengthen financial controls, improve reporting processes and provide high-quality financial information that supports strategic business decisions. This is an excellent opportunity for a finance professional who enjoys balancing strategic initiatives with hands-on execution within a fast-growing international manufacturing business.

What you'll do

As Manager, Financial Control & Treasury, you will: Lead the preparation and consolidation of Group financial statements in accordance with IFRS. Coordinate monthly, quarterly and annual financial reporting across multiple international entities. Support the preparation of budgets, forecasts and management reporting. Ensure the timely and accurate completion of statutory and management reporting requirements. Manage and continuously improve consolidation systems, reporting tools and financial processes. Coordinate the preparation and publication of the Group Annual Report. Maintain Group accounting policies and ensure consistent application across all business units. Develop and enhance accounting procedures, reporting standards and internal financial controls. Drive continuous improvements to governance, compliance and financial reporting processes. Review financial statements and balance sheet reconciliations during the Group close process. Maintain and update the Group Accounting Manual. Support internal and external audit activities. Lead foreign exchange risk management activities. Coordinate treasury operations including liquidity planning, cash management and financing activities. Manage trade finance activities including guarantees and letters of credit. Coordinate tax reporting activities alongside external advisors. Support enterprise risk management through oversight of Group insurance programmes. Monitor changes in accounting standards and financial reporting requirements. Participate in strategic finance and business improvement projects across the Group. Promote Integris’ values of Integrity, Innovation, Passion, Partnership and Quality.

What you'll bring

The successful candidate will possess: Bachelor’s degree in Finance, Accounting, Economics or a related discipline. MBA, CPA, ACCA or equivalent professional qualification preferred. Minimum seven years’ experience in international finance, consolidation, treasury or corporate finance. Strong knowledge of IFRS reporting within multinational organisations. Experience managing treasury activities, financing structures and liquidity planning. Thorough understanding of financial governance, internal controls and compliance. Experience coordinating international tax matters with external advisors. Previous experience within manufacturing, engineering, industrial or project-based businesses is highly desirable. Experience working within a private equity-backed organisation is advantageous. Strong analytical and financial modelling skills. Excellent attention to detail and problem-solving ability. Proven ability to work effectively within complex international organisations. Excellent communication and stakeholder management skills. Strong Microsoft Excel and Office skills. Experience using ERP systems and financial consolidation software. Fluent written and spoken English. Willingness to undertake occasional international travel. Apply Now:

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