Group Financial & Reporting Manager
- This is a hands-on senior role within our clients Group Finance function, responsible for the design, execution and continuous improvement of the multi-jurisdiction statutory reporting and regulatory capital & liquidity framework across Luxembourg, Jersey, Guernsey and the UK.
- You will lead the Groups consolidated reporting requirements related to new financing arrangements, including monthly statutory reporting (P&L, Balance Sheet, Cash Flow), normalisation adjustments for EBITDA and Net Operating Cash Flow, and quarterly covenant compliance reporting.
- The role combines deep technical accounting (FRS 102/UK GAAP and Lux GAAP), robust capital and liquidity modelling, and proactive engagement with auditors and regulators (CSSF, JFSC, GFSC). You will work autonomously, set high standards for pace and accuracy, and build scalable models and controls that prevent breaches and support strategic decision-making.