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Ceros

Senior International Financial Reporting Manager

Ceros

. Own monthly international reporting for board and investor packs .

Posted 9/29/2026full-timeLondon • United KingdomSeniorWebsite

Core Competencies

Role fit
Core Competencies

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Demonstrates expertise in International Financial Reporting Standards (IFRS) and multi-entity group consolidation, with a strong ability to engage with senior stakeholders and drive continuous improvement through digital and AI solutions.

Highest-signal resume keywords
International Financial Reporting Standards (IFRS)Multi-Entity Group ConsolidationProfessional Qualification (ACA, ICAS, CA, ACCA, CIPFA)Stakeholder EngagementDigital and AI Tools for Reporting

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
P&L ForecastingBalance Sheet ForecastingCash Flow ForecastingStatutory AccountingFinancial ReportingConsolidation Inputs CollationTechnical Issue ResolutionContinuous ImprovementTreasury ManagementJurisdictional Compliance
Soft Skills
Confidence in PresentingAbility to Review and ChallengeCollaborationArticulation of ResultsEngagement with Senior Stakeholders
Certifications & Qualifications
ACAICASCAACCACIPFA
Industry Keywords
International OrganisationStatutory Reporting ObligationsGroup Accounting PoliciesInvestor ReportingLocal Finance Teams

About the role

Key responsibilities & impact
  • Own monthly international reporting for board and investor packs
  • Collate consolidation inputs from local finance teams
  • Articulate international business unit performance against local and group strategy
  • Support local finance leads and advisors in resolving technical and jurisdictional differences
  • Maintain a calendar of statutory reporting obligations across international entities
  • Support statutory accounting pack submissions from international entities
  • Ensure subsidiaries and acquisitions align with group accounting policies
  • Escalate judgemental issues to the Group Financial Reporting team
  • Ensure timely and accurate P&L, Balance Sheet and Cash Flow forecasting for international entities
  • Work with FP&A to align actuals and management accounts
  • Support active treasury management and identify local funding requirements and opportunities
  • Champion digital and AI solutions to improve and streamline reporting
  • Collaborate with the Head of Group Financial Reporting, local international finance leads, Group Financial Reporting, FP&A, Tax, Treasury and external auditors

Requirements

What you’ll need
  • Professional qualification: ACA, ICAS, CA, ACCA or CIPFA
  • Sufficient post-qualification experience
  • Confidence engaging with senior stakeholders across multiple jurisdictions
  • Ability to review, challenge and interpret local finance teams’ reported results
  • Ability to articulate and present results to senior stakeholders
  • Excellent knowledge of International Financial Reporting Standards (IFRS)
  • Experience of multi-entity group consolidation
  • Experience working in an international organisation with entities across multiple jurisdictions
  • Track record of driving continuous improvement
  • Experience using digital or AI tools to streamline reporting

Benefits

Comp & perks
  • Work-life balance support
  • Flexible working options
  • Reduced hours and job shares considered
  • Family-friendly and wider leave policies
  • Secondment opportunities
  • Opportunities to fundraise for local charities
  • Opportunities to invest in entrepreneurs in the developing world
  • Inclusive culture
  • Professional development and career opportunities
  • Reward and benefits package (details provided on the employer website)