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You hold an end-to-end responsibility for the Group’s accounting, consolidation and financial reporting framework, ensuring the accuracy, integrity and IFRS compliance of the Group’s consolidated financial statements across all countries and entities.
Identify opportunities and lead change to improve TS offering and ensure seamless customer experience in the full customer journey from pre-sales to onboarding to in life client management, which should help to achieve the financial TS KPIs;
Actively contribute to the portfolio construction, risk monitoring and day-to-day management of government bond investment portfolios with a broad and global scope; Develop, analyse and implement (new) investment ideas within the investment universe in a
Analyse project profitability across our ongoing missions and provide clear insights for management. Monitor cashflow on an ongoing basis and maintain a rolling cashflow forecast, flagging potential shortfalls or risks early on. Support the annual
Responsible for the end-to-end operational delivery of Purchase-to-Pay processes (PR → Pay), covering Accounts Payable and Finance Business Support activities. The role ensures reliable, efficient, and compliant service delivery