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Group Financial Controller
Team InternetGroup Financial Controller for Team Internet shaping finance operations and driving improvements using technology. Leading a high-performing finance team in an international setting.
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates strong financial acumen with expertise in multi-entity reporting, compliance, and audit processes. Capable of leading finance teams while leveraging technology and data-driven insights to enhance decision-making and streamline operations.
Highest-signal resume keywords
Group ReportingFinancial ControlsStakeholder ManagementAudit ProcessesData Analysis
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Multi-Entity ReportingFinancial AnalysisPerformance AnalysisCashflow ManagementConsolidation ProcessesAutomation ImplementationAI-Enabled ToolsCompliance ManagementFinancial Narrative DevelopmentComplex Transaction Support
Soft Skills
LeadershipCommunicationOrganizational SkillsProactive Problem-SolvingCuriosity
Industry Keywords
Audit-ReadinessMulti-Currency ReportingFP&ATax ComplianceCommercial Mindset
About the role
Key responsibilities & impact- Driving high-quality Group reporting
- Bringing structure and accuracy to multi-entity, multi-currency reporting
- Producing clear, insightful monthly reporting and performance analysis
- Owning end-to-end group reporting outputs, ensuring they are timely and decision-ready
- Strengthening financial controls and ensuring audit-readiness at all times
- Leading audit processes and working effectively with external partners
- Ensuring compliance across multiple jurisdictions with confidence and precision
- Coaching and developing finance talent across the Group
- Collaborating with senior stakeholders across FP&A, Tax, Legal and leadership
- Creating alignment between regional teams and Group finance
- Bringing visibility and control to cashflow, liquidity and FX exposure
- Supporting strategic decision-making around funding and cash positioning
- Simplifying and streamlining month-end and consolidation processes
- Introducing automation to reduce manual work and improve efficiency
- Using data and AI-enabled tools to enhance insight and decision-making
- Partnering with leadership to provide financial insight and analysis
- Connecting actuals, forecasts and budgets into a coherent financial narrative
- Supporting complex transactions and commercial initiatives
Requirements
What you’ll need- Ability to manage complexity across multi-entity, international structures
- Strong technical financial understanding and attention to detail
- Confidence in interpreting, analysing and explaining financial data
- Strong systems mindset, with the ability to improve tools and processes
- Curiosity and openness to using technology and AI to improve outcomes
- Ability to lead, develop and inspire finance teams
- Confident communicator who can influence at all levels
- Strong stakeholder management across functions and geographies
- Highly organised and outcome-focused
- Proactive, hands-on and solution-oriented
- Comfortable operating in a fast-paced, evolving environment
- Commercial mindset with the ability to see the bigger picture
Benefits
Comp & perks- We are collaborative, fair, consciously inclusive, and flexible
- We trust, value, and support our people to make the difference
- We believe that diversity of thought and experience provides the platform for innovation and creativity
- We invest in the development of our people to drive our ambitions forward
- We offer a range of benefits (including your choice of tech) and a competitive package
- We offer a great work environment in an internationally successful enterprise in the online services industry