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Job description
A dynamic opportunity to join a fast-growing FTSE-listed alternative asset manager's Financial Control team. The role involves managing monthly financial control processes, supporting internal and external financial reporting, and collaborating with various stakeholders to deliver high-quality financial information and insights.
The primary responsibilities include maintaining and enhancing monthly financial close processes, ensuring robust control environments, delivering timely management information, supporting key finance and group projects, facilitating external audit engagements, and building strong relationships with internal and external stakeholders.
Essential requirements include post-qualification experience in financial reporting or financial control, being a qualified accountant (ACA or equivalent), demonstrating a strong control mindset, and having experience working in a publicly listed organization, asset management, private equity, venture capital, or financial services firm. Candidates should possess strong analytical skills, problem-solving abilities, and proficiency with Microsoft Excel.
The role offers a competitive global benefits framework focusing on wellbeing, inclusivity, and long-term sustainability. ICG provides opportunities for professional growth in a fast-paced, collaborative environment that values integrity, diversity, and excellence in alternative asset management.
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