FINANCE MANAGER
Thélios, born from the vision of the LVMH group, is a leader in luxury eyewear, creating unique frames that blend Italian design and craftsmanship with the core values of each House. Named after the Greek gods Theia and Helios, Thélios encompasses the entire eyewear production cycle, including design, manufacturing, and global distribution of sunglasses and optical frames for select Houses within the LVMH portfolio. Committed to quality and excellence, Thélios aims to deliver an 'enlightened look' on the sector through superior product, service, communication, and distribution.
Position Title : Finance Manager
Location : Barcelona
Reports to : General Manager (GM)
Department : Accounting and Finance
Job Status : Full time
POSITION SUMMARY : The Finance Manager oversees complex accounting activities and financial analyses, ensuring the integrity of accounting data through recording, verification, consolidation, and transaction entry. This role also involves enforcing and monitoring compliance with company-wide accounting policies and procedures, leveraging experience and expertise.
KEY RESPONSIBILITIES :
1. Ensure error-free accounting reporting and compliance with GAAP, including constant updates to accounting processes (e.g., purchase requests, bookkeeping).
2. Manage Group Monthly Closing Reporting in IFRS and reconcile monthly intercompany balances.
3. Oversee cash management, cash forecasting, bank reconciliations, and company payments.
4. Collaborate with management to improve financial procedures, participate in standards setting, and contribute to forecasting processes.
5. Perform monthly analyses of balance sheets, income statements, and financial position changes.
6. Analyze financial data to identify errors and suggest efficiency improvements.
7. Develop and document business processes and internal controls.
8. Prepare financial statements, including balance sheets and profit and loss statements.
9. Verify, allocate, post, and reconcile subsidiary accounts, resolving discrepancies.
10. Maintain the general ledger, prepare trial balances, and reconcile entries.
11. Coordinate internal and external audits to ensure compliance.
12. Prepare financial reports and assist with tax audits and filings.
13. Support quarterly and annual regulatory filings and statutory statements.
14. Contribute to special projects within the department and organization.
15. Utilize SAP software effectively.
THE RIGHT CANDIDATE : A proactive, organized, professional problem-solver with the ability to work with cross-functional teams and manage complex situations. Calm demeanor, positive attitude, and strong SAP skills are essential.
SKILLS / EXPERIENCE :
1. Bachelor's degree in accounting, Finance, or related field; CPA/CMA preferred.
2. At least 5 years of relevant accounting and management experience.
3. Deep knowledge of finance, accounting, budgeting, cost control, GAAP, and IFRS.
4. Expertise in bookkeeping, laws, standards, and regulations.
5. Ability to analyze financial data and communicate insights effectively.
6. Excellent verbal and written communication skills; strong interpersonal skills.
7. Proficiency in Microsoft Office, especially Excel, and familiarity with accounting software.
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