Job Description
Job Description:
Manage the full cycle, monthly, quarterly, and annual group financial consolidation process, ensuring accuracy, completeness, and adherence to established deadlines (Balance Sheet, Income Statement, Statement of Cash Flows, and Equity Statement) • • Ensure accurate elimination and reconciliations of intercompany transactions. • Oversee the accounting for minority interests (non-controlling interests) and goodwill/impairment testing. Support the external reporting team by providing consolidated financial data, supporting documentation, and analysis required for filings and investor relations • Collaborate closely with subsidiary finance teams to ensure consistent application of group accounting policies, accurate and timely submission of entity financial data, and resolution of consolidation issues.
Reporting & Compliance: • Ensure compliance with all relevant accounting standards (e.g., IFRS/US GAAP/Local GAAP) and regulatory requirements. • Work along with the US Controller in the external audit process related to the consolidated financial statements. • Prepare and review schedules and analyses for management reporting, board reports, and regulatory filings. The Group Consolidation Manager will report to the Corporate Controller
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