We are seeking a seasoned Head of Financial Controlling / Senior Financial Controller to lead our financial controlling department. Reporting directly to the Chief Financial Officer (CFO), your primary mandate is to guarantee the absolute reliability, accuracy, and integrity of financial reporting across the group.
While you will oversee Financial Controlling and Treasury—with a strict operational focus on protecting EBITDA and optimizing CASH and NWC —your success will be defined by your ability to establish flawless financial governance, robust internal controls, and zero-error group reporting. You will intensively work in very close collaboration with the Business Controlling department.
As you will collaborate with colleagues and stakeholders across Belgium and France, a professional command of both Dutch and French is essential for this role.
Key Responsibilities
- Financial Reporting & Governance
- Group Financial Reporting: Own the end-to-end preparation, consolidation, and timely delivery of accurate group financial reporting packages, ensuring strict compliance with IFRS/Local GAAP and internal policies.
- Data Integrity & Controls: Establish, monitor, and enforce rigorous internal control frameworks to ensure the complete accuracy of all financial data.
- Audit Management: Serve as the primary interface for internal and external auditors, ensuring seamless audit processes and swift resolution of any findings.
- Cash Management & EBITDA Control
- Cash & Treasury Forecasting: Maintain oversight of high-precision short- and long-term cash flow forecasting, working capital metrics, and treasury activities to secure liquidity.
- EBITDA Oversight: Monitor and report on EBITDA performance with laser focus, conducting granular variance analyses to flag and correct deviations against budget immediately.
- Process Standardization: Standardize financial and operational KPIs across the group to ensure "one version of the truth."
- Departmental Leadership & Forecasting
- Team Leadership: Manage and mentor the Financial Controlling department, and the Treasury Management & Collection department, instilling a culture of absolute accuracy, detail-orientation, and strict adherence to deadlines.
- Budgeting & Rolling Forecasts: Oversee the technical execution of the annual budgeting process and rolling forecasts, ensuring all underlying assumptions are thoroughly verified.