Own the month-end close and group reporting. Oversee close, multi-entity and multi-currency consolidation, and IFRS statutory financial statements across our entities. Review key schedules, journals and reconciliations.
Lead audits, tax and statutory compliance. Coordinate external audits, manage auditors and tax advisors, and ensure timely and accurate tax and statutory filings across the Group.
Own the Group’s tax agenda. Manage direct and indirect taxes (corporate income tax, VAT, withholding and payroll taxes) across jurisdictions, and oversee the Group’s transfer pricing arrangements and intercompany charges.
Manage regulatory and business compliance. Oversee AML, licensing, business permits and other regulatory requirements across the Group, and keep compliance calendars and filings on track.
Run treasury and cash management. Oversee cash flow movements and liquidity management, FX exposure and banking relationships. Collaborate on cash flow forecast.
Drive budgeting and performance analysis. Lead the budget process, track actuals against plan, and give leadership clear insight into performance and outlook.
Own preparation of lender, investor and board reporting. Produce reporting packs, monitor covenant compliance, maintain debt schedules and respond to information requests.
Supervise and further develop a small, experienced accounting, compliance and investor relations teams. Set clear objectives, ownership and accountability across finance processes.
Automate with AI. This role is designed around AI-enabled ways of working — much of Apollo’s reporting, reconciliation and analysis is already automated, and you are expected to run, extend and improve that tooling so a lean team can cover a broad scope.