We are seeking a detail-oriented and analytical Finance Analyst to support Group Financial Reporting, Consolidation, and Audit activities within a fast-paced M&A organization. This role is critical in ensuring accurate consolidated reporting across multiple acquired entities operating under IFRS and ASPE frameworks. The ideal candidate has strong technical accounting knowledge, experience in multi-entity environments, and the ability to translate financial data into meaningful business insights for senior leadership.
Responsibilities:• Preparing monthly, quarterly, and annual consolidated financial statements.• Managing full consolidation activities including intercompany eliminations, foreign currency translation, investment eliminations, and non-controlling interest calculations.• Supporting group cash flow reporting, management reporting packages, and executive dashboards.• Conducting variance analysis across actuals, budgets, forecasts, and prior periods.• Providing financial insights on revenue, margins, operating expenses, and overall business performance.• Supporting Board reporting, KPI development, forecasting, and budgeting cycles.• Assisting with external audits, technical accounting memos, and compliance with IFRS and ASPE.• Supporting M&A accounting, due diligence, purchase price allocations, and post-acquisition integration.• Identifying opportunities to improve reporting processes, controls, ERP systems, and standardization across entities.
Qualifications:Bachelor’s degree in Accounting, Finance. CPA or equivalent certification is highly desirable. Minimum of 3 years of experience in financial reporting and consolidation. Strong knowledge of IFRS, and consolidation accounting principles. Proficiency in financial software and ERP systems (e.g., Oracle (Net suite and FCCS). Fluency in English is a MUST.