Senior Manager – Financial Consolidation & FX Risk at Ebury
Job Description
📋 Description
- Direct global foreign currency translation (CTA), remeasurement, and intercompany accounting across
- Lead complex multi-currency monthly close operations for subsidiaries across multiple parts of the
- Partner with Treasury to design, execute, and monitor balance sheet and cash flow hedging
- Drive finance and treasury transformation initiatives, including ERP (NetSuite) and Treasury
- Advise on international intercompany financing, net investment hedging strategies, and settlement
- Deliver insightful foreign exchange analyses and project updates to board members, audit
🎯 Requirements
- 7+ years of hands-on experience in global financial consolidation, FX accounting, and treasury
- Deep technical knowledge of IFRS, specifically IAS 21 (Effects of Changes in Foreign Exchange
- Strong hands-on experience with ERP (NetSuite) and Treasury Management Systems (TMS).
- Proven ability to manage complex multi-currency accounting processes or lead system change
- Bachelor’s degree in Finance or Accounting; ACCA, ACA, CPA, CTP, or PMP designation preferred.
- Open to Permanent Full-Time or Interim/Contract.
🎁 Benefits
- Competitive Starting Salary with an annual discretionary bonus that truly rewards your performance
- Dedicated Mentorship: Learn directly from experienced managers who are invested in your success.
- Cutting-Edge Technology: Leverage state-of-the-art tailor made tools and systems that enable you to
- Clear, Accelerated Career Progression: Defined pathways to leadership and specialist roles within
- Dynamic & Supportive Culture: Work in a collaborative environment where teamwork and personal
- Generous Benefits Package: Access competitive benefits tailored to your location, which typically
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