We are expanding our team and looking for talented professionals across multiple roles. If you're driven, detail-oriented, and want to work in a global, high-growth environment we want to meet you!
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Interview Day : Sunday, 7th December
š© Apply Now : Send your resume to info@terracegate.com
Note : This is not a walk-in drive. Interviews will be held only for shortlisted candidates.
Role Summary :
We are seeking an experienced Financial Controller to work with one of our clients. The role involves managing day-to-day accounting operations, inter-company reconciliations, multi-entity reporting, and financial dashboards. The ideal candidate will be hands-on with accounting and reporting, comfortable working independently, and able to partner closely with senior management to ensure financial clarity, control, and cost discipline. This position offers exposure to a global finance environment, multi-entity financing structures, and the opportunity to contribute to strategic decision-making.
Key Responsibilities :
- Manage accounting operations, including general ledger, reconciliations, and reporting.
- Oversee multi-entity and financing structures, managing multiple tranches across entities, and interpret financing and shareholder agreements to ensure accuracy and compliance.
- Prepare and manage cash flow statements and forecasts.
- Drive proactive cost control and allocation, scrutinizing vendor terms, spend patterns, and enforcing clear allocation policies across entities.
- Create and track asset values and financial dashboards.
- Analyze cost and revenue drivers; prepare simple and insightful reporting.
- Produce NAV and performance analysis by entity and share class within complex ownership structures.
- Support management with financial planning and decision-making inputs.
- Ensure compliance with accounting standards and internal controls.
- Coordinate and manage year-end audit processes, including preparation of audit schedules, liaison with auditors, and resolution of audit queries.
- Handle and process bank payments, ensuring accuracy, authorization compliance, and timely execution.
- Champion a digital-first approach by automating and improving workflows, leveraging technology to drive accuracy and efficiency.
- Collaborate with leadership to identify and implement process improvements.
- Work collaboratively across teams and remain flexible to support leadership on non-accounting activities when required, fostering a hands-on and team-first environment.
Required Skills and Qualifications :
2-5 years of relevant accounting or finance experience.Experience with multi-entity structures, inter-company transactions, and fund accounting preferred.Strong understanding of financial reporting, cash flow management, and asset valuation.Proficiency with Excel and financial dashboards; experience with accounting software preferred. Experience with Xero and QuickBooks would be considered key.Excellent analytical and problem-solving skills.Outstanding English communication skills.Digitally fluent, with proven experience in using automation tools or finance tech to streamline processes.Able to work independently in a flexible, global setup.