ROLE
The manager accounting, reporting & treasury is responsible for the correct and complete financial processes and owner of the closing process conform central guidance, IFRS principles and local GAAP.
He/she is the primary point of contact for financial risk matters (bank regulations), follow-up of audits, coordinator of external audit and towards the tax authorities.
He/she is responsible for reviewing the financial group controls performed by the team members, improving the finance processes and ensure compliance with the group rules.
He/she works closely together with controlling, collection and IT.
KEY RESPONSIBILITIES
Leadership & Team Development
* Lead and inspire the Finance team, fostering professional growth and readiness for a changing environment.
* Act as a role model for change, efficiency, and process improvement.
* Establish an open and collaborative culture, building a cohesive and motivated team.
Regulatory & Tax Reporting
* Oversee all regulatory reporting obligations for the Belgian entities.
* Ensure timely and accurate statutory accounts and financial statements.
* Manage ESG reporting and transfer pricing compliance.
* Oversee VAT processes and corporate income tax declarations (including prepayments and all related formalities).
* Review and perform tax accounting and IFRS tax reporting.
Financial Closing & Reporting
* Lead the monthly closing process, ensuring completion within three working days.
* Steer the IFRS closing process in collaboration with the business, Shared Service Center, and Finance.
* Proactively address deviations, process issues, and ensure strict adherence to HQ and business financial policies.
* Deliver timely, accurate HQ reporting, including detailed deviation analysis of balance sheet and P&L.
Business & Process Management
* Oversee financial processes in collaboration with business units and the Shared Service Center.
* Implement financial processes for new business developments.
* Proactively resolve operational issues and manage changes in accounting processes in line with company guidelines.
* Act as a trusted partner to the business, providing financial insights and solutions.
Controls, Compliance & Projects
* Ensure robust financial controls.
* Perform timely control reviews and implement necessary adjustments.
* Contribute to key projects, ensuring financial process and accounting impacts are properly assessed and managed.
Cash & Treasury
* Oversee daily cash management operations and securitization processes, ensuring liquidity and compliance with internal policies.
WHAT WE’RE LOOKING FOR
We are seeking an experienced finance leader who combines strategic vision with hands-on execution. You bring a critical and detail-oriented mindset, while remaining pragmatic and solutions-driven in a fast-changing environment. With a proactive and persuasive communication style, you are able to influence stakeholders, build strong relationships, and inspire confidence across the business.
You are comfortable working independently, yet thrive in collaboration, with a natural ability to coach and develop teams. Integrity, resilience, and flexibility define your approach — whether it’s adapting to new priorities, managing complex reporting requirements, or supporting the organization through transformation.
On the technical side, you have a strong command of financial and IT systems, with advanced skills in Excel and database management. You bring deep expertise in IFRS, taxation (direct and indirect), and treasury activities such as cash forecasting and securitization. Experience working with Shared Service Centers abroad and managing internal controls frameworks within complex, multinational environments is a strong asset.
REQUIREMENTS
Education: Degree in Finance, Accounting, or a related field.
Experience: Minimum of 10 years leading accounting teams, ideally in a multinational and fast-changing environment.
Technical expertise:
* Strong knowledge of IFRS and closing processes.
* Solid understanding of direct and indirect taxation (corporate income tax, VAT, IFRS tax reporting).
* Experience in treasury operations, including cash forecasting and securitization.
* Skilled in internal control frameworks (preferably within regulated or financial services organizations).
Systems knowledge: Advanced Excel and database management skills, with proven experience working across multiple IT systems and with offshore Shared Service Centers.
Languages: Fluency in English, plus fluency in either French or Dutch.
Personal qualities:
* Hands-on, proactive, and resilient in demanding environments.
* Strong communicator and influencer with the ability to build trust across stakeholders.
* Flexible in managing time and priorities, with high integrity and a results-oriented mindset.
THE OFFER
Our client offers a challenging and exciting role that will allow you to make your mark. You will get the opportunity to join an ambitious company that enjoys a solid reputation in its market. The context is one of finance and business transformation, allowing people with a sense of initiative to have a real impact on the business.
Working for our client is working for a company that hold sustainability in high regard. They constantly foster innovation, promoting sustainable technologies and behaviors, as well as training their staff in striving towards sustainability goals.
This role will allow you to navigate the business as co-pilot of the decision makers.