A high-growth, Private Equity backed international group is seeking aGroup Financial Controllerto lead global financial control, reporting, and operational finance. Reporting directly to the CFO, this role oversees all group accounting, month-end delivery, tax, audit, treasury, and finance systems across multiple jurisdictions. This role is remote with an expectation to attend the Dublin office upon occasionThis is a senior leadership position, partnering closely with regional finance leads and senior executives to drive accuracy, efficiency, and scalability across the finance function, running a team of 40+ around the world. International matrix style management experience is imperative.Key ResponsibilitiesFinancial Control & OperationsLead global financial control, R2R, P2P, AP, cash and month-end close activities.Maintain accurate, timely financial records across all entities.Improve scalability through automation, centralisation and consistent policies.Own the Group reporting calendar and ensure deadlines are met.Maintain accounting policies, SOPs, and key controls.Oversee finance systems (ERP, AP, expense and travel tools) and support rollouts and enhancements.Audit, Tax & VATManage the Group audit cycle and external auditor relationships.Ensure IFRS compliance and adherence to local regulatory requirements.Oversee tax, VAT/GST compliance and partner with advisors to meet filing deadlines.Drive internal audit actions and strengthen financial governance.Financial Reporting & Management AccountingDeliver monthly consolidated management accounts with accuracy and insight.Prepare financial reporting for the CFO, Board and investors.Ensure consistent reporting across product lines/business units.TreasuryImplement treasury management systems and cash pooling.Oversee cash flow forecasting, liquidity management and external financing.Ensure covenant compliance and effective risk management.Planning & AnalysisPartner with FP&A on KPI reporting, budgeting and forecasting.Provide accurate data and insights for decision-making.Strategic Projects & CollaborationLead on finance transformation initiatives, systems upgrades and process improvement.Support M&A activity, integrations, and market expansion projects.Build strong relationships with senior stakeholders across the business.Team LeadershipDevelop and lead a high-performing finance team.Build a scalable structure and foster a culture of collaboration, accountability and continuous improvement.Set performance goals and support professional development.RequirementsProfessional accounting qualification (ACCA, ACA, CPA, CA or equivalent).Extensive experience in senior finance leadership roles within complex, multi-entity groups.Strong group consolidation and multi-jurisdiction reporting experience.Proven exposure to regulated environments (e.g., Ireland, UK, Luxembourg).Experience with acquisitions and integrations is advantageous.Strong systems literacy – ideally with ERP tools (e.g., Intacct), automation platforms and advanced Excel/PowerPoint.Excellent communicator with a proactive, hands-on leadership style.Highly organised, adaptable, and comfortable in fast-paced, high-growth environments.Please reach out to me - Hannah Alderson @ twentyAI for more information