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Finance Controller

No se muestra la compañía
 Buenos Aires, Argentina
Finanzas/Contabilidad, Inglés

Descripción del puesto:




The Finance Controller acts as the right-hand of the Country CFO Professional Beauty ("Wella") with regards to accounting and compliance of the Professional Beauty business in Argentina. She/He leads the accounting area, and ensures compliance with internal and external (financial) reporting requirements (i.e. IFRS, local GAAP, US GAAP, tax). The Finance Controller is responsible for the Corporate Governance of the Business Unit, owning the group and statutory financial reporting, and overseeing the internal/external audit and third party supplier.

The Finance Controller works in close cooperation internally with the Central Finance team and externally with the auditing firms, the Tax Consultants and the Financial and Tax Authorities, to ensure the financial statements are accurate and complete, substantiated with sufficient and detailed documentation - in line with group and local requirements - creating a basis for a clean audit trail.

The Finance Controller plays a pivotal role in establishing and shaping the future accounting team, processes, systems and routines for internal and external accounting, since the Wella business will operate as a standalone company (owned by private equity). The Finance Controller advises on accounting matters in relation to the carve-out of the business / financial statements.


* Lead/oversee the whole accounting, AR and AP processes;

* Lead the needed organizational changes in his/her areas of responsibility in line with the Corporate strategies to build a more efficient and effective organization over time;

* Lead and coordinate any project in his/her areas of responsibility, being the first contact in the Local Market to coordinate the different areas impacted (Corporate, local teams, legal/tax advisors or auditors);

* Owning the group and statutory financial reporting process for the legal entities in Argentina;

* Ensure full compliance with internal and external (financial) reporting requirements, in line with the group accounting policies and the local regulations, with a clear understanding of the differences between them (i.e. IFRS, local and US GAAP, tax);

* Work with the Central (Finance), Shared Services and Tax Accounting teams for group reporting and consolidation purposes;

* Direct and indirect tax, and timely identification and communication of tax risk & opportunities. Monitor tax compliance obligations in the responsible territory and arrange for timely preparation of direct and indirect tax filings. Contact towards the Argentina tax offices, assisting in the preparation of responses to queries from tax authorities in an efficient and timely manner;

* Act as overall audit engagement coordinator & primary point of contact for internal and external audit;

* Own the Local Governance, including the appropriate board meetings and minutes, information to key stakeholders, etc.;

* Advise local management and Finance Co-Pilots on statutory and tax considerations in support of business decisions;

* Upgrade or implement best-in-class procedures, processes and systems which on the one hand support the business for future growth, and on the other hand are focused on compliance to deliver accurate, reliable, complete and timely financial statements. Initiate corrective actions whenever needed;

* Go-to-person for accounting matters in relation to the carve-out of the financial statements;

* Ensure Treasury and Cash Management in line with local business needs and with corporate guidelines;

* Coordinate legal and insurance obligations (risk management). Avoid legal challenges by understanding the current and proposed legislation and implementing new procedures if needed;

* Executions will be supported by a third party provider (BPO).


* Bachelors in Accounting or Finance;

* Strong understanding of financial accounting processes;

* Proven working experience as an Accounting Manager In a multinational company;

* Previous experience with a carve out of a business and its financial statements;

* Excellent understanding and management of P&L, Balance Sheet, Cash Flow and tax accounting rules under IFRS and local and US GAAP;

* Proven working experience in leading the month-end close process (timely delivery of reliable financial statements);

* Gained experienced in an international / private equity environment;

* Strong experience with SAP and extensive use of Excel;

* Excellent written and verbal communication skills with the ability to communicate effectively at all levels of hierarchy with multifunctional partners and with external stakeholders;

* Ability to direct and supervise his/her own organization and third party service providers. Capable of co-working with team members while maintaining higher level overview;

* Ability to work in international business context. Fluent in written & spoken English;

* High standards of accuracy and precision; operational discipline; ability to deliver against tight deadlines;

* High level of mental agility with ability to manage complexity and ambiguity, connecting the dots and finding solutions;

* Change management attitude, ability to work in a changing environment;

* Proactive, ethically-driven and self-motivated working style, with ability to learn quickly and further develop skills / competencies at fast pace

Origen: Web de la compañía
Publicado: 13 Nov 2020
Idiomas: Inglés
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