





Global brand, mid-level generalist finance role and metro location create high applicant competition.
Requires fund accounting, regulatory and auditor-facing experience, making industry-specific background important.
Explicit 5-20 years, mandatory controllership experience, accounting qualifications, and tooling/reporting skills increase strictness.
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Own month-end financial activities including billing, cash collection, revenue management, accounts receivable/payable, accrued income, and variance analysis for the Luxembourg Finance team.
Manage stakeholder relationships with business heads, CFO, regulators, and auditors while supporting business partnering activities like revenue analysis, sales pipeline review, forecasts, and ad hoc queries.
Develop and implement robust frameworks, SOPs, process automation, system transformation, and analytics at the India Finance Global Service Centre to stabilize and expand the team.
Work Experience Required: 5-20 years in Controllership and Business Partnering depending on position level.
Mandatory expertise in billing and cash collection relevant to functional role.
Knowledge of accounting principles with experience in statutory and regulatory reporting.
Proficiency in Microsoft Office (Word, Excel, PowerPoint); Power BI and Workday/Adaptive Planning knowledge preferred; CA/CFA/MBA is an added advantage.
Experienced in handling end-to-end financial controllership and business partnering tasks within a multinational financial services environment.
Capable of working in flat organizational structures and contributing to building scalable, high-performing teams in a fast-growing global finance hub.
Strong stakeholder management, data analytics, and project management capability aligned to driving process improvements and automation initiatives.