Job Openings
Financial Controller (Internal)
About the job Financial Controller (Internal)
Financial Control & Reporting Manager (Internal)
Drive Financial Performance, Strategy & Growth
Ready to take ownership of a diverse finance function within a growing multi-entity environment? We are seeking a proactive and commercially minded Financial Control & Reporting Manager to oversee financial operations, reporting, budgeting, forecasting, and process improvement initiatives. This is an excellent opportunity for an ambitious finance professional looking to play a key role in business performance while enjoying strong career development prospects and a supportive working environment.
Responsibilities
- Manage the day-to-day finance operations across multiple entities.
- Oversee accounting records, reconciliations, invoicing, payments, and month-end processes.
- Lead billing and credit control activities, ensuring accurate and timely collections.
- Prepare management accounts, financial reports, budgets, cash flow forecasts, and variance analysis.
- Monitor financial performance, costs, budgets, and cash flow.
- Coordinate year-end financial statement preparation and support external audit processes.
- Ensure compliance with VAT obligations, tax requirements, and other statutory reporting.
- Improve finance processes, internal controls, reporting systems, and operational efficiencies.
- Support finance system enhancements, automation projects, and digital transformation initiatives.
- Provide financial insights, profitability analysis, and support strategic business decisions.
- Assist in developing and maintaining finance policies and procedures.
- Support and guide junior team members involved in finance-related activities.
Requirements
- ACCA qualified, in the process of obtaining ACCA qualification, finance degree holder, or equivalent professional qualification.
- Minimum 4–5 years of finance experience, preferably within professional services, financial services, corporate services, or multi-entity environments.
- Strong understanding of financial reporting, accounting standards, VAT, budgeting, forecasting, and internal controls.
- Experience preparing management accounts, financial reports, and cash flow forecasts.
- Familiarity with accounting software and financial reporting systems; knowledge of Xero is considered an advantage.
- Advanced Microsoft Excel skills.
- Strong analytical, organisational, and problem-solving abilities.
- Ability to manage multiple priorities and meet deadlines.
- Fluency in both Maltese and English.
Benefits
- Competitive salary package based on experience.
- Company-paid health insurance.
- Professional development and continuous learning support.
- Mentorship from experienced finance professionals.
- Flexible working environment.
- Career progression opportunities.
- Free parking.
- 50% contribution towards annual gym membership.
- Exposure to a broad range of finance responsibilities within a diverse business structure.