Be the ''Architect' of the finance function and drive best practice! About Our Client My client is growing organically and through M&A within the entertainment industry. They are an international brand looking to go to the next step. Job Description Accountability for the end-to-end consolidation of the global business and ensure the the right structure exists to support all reporting requirements Ensure Group P&L, Balance Sheet, and Cashflow are accurate, complete, and IFRS-compliant Manage equity movements and ensure accuracy of the cap table at all times Partner with the Head of Tax on legal and tax implications of equity structures Own cashflow forecasting in the short-term and liquidity planning Ensure sufficient cash is available in the right entities and currencies and optimise how cash flows throughout the Group Own the Management, Board Pack and all investor reporting outputs whilst maintaining close cross collaboration with the FP&A team for required inputs Prepare clear, accurate, and commercially relevant financial narratives Define and maintain Group Accounting Policies in conjunction with the entity accounting teams Support the CFO on fundraising, investor engagement, and capital strategy Provide financial input into any M&A activity, including due diligence and integration planning The Successful Applicant A successful candidate is: Strong experience in Group HQ Finance within a multi-entity, international business Deep technical accounting knowledge (IFRS essential) Proven ownership of consolidation and Group-level reporting Experience managing equity structures, cap tables, and investor reporting Strong treasury and cashflow management capability Experience working closely with CFOs, Boards, and investors What's on Offer The successful candidate will get: $180,000 plus super prorata salary remote working dynamic and growing business working alongside a superstar CFO