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Business Controller

ur-capital Genf, Schweiz
Gepostet vor 4 Tagen Festanstellung Competitive

Business Controller

ur-capital Genf, Schweiz
Business Controller

Job Description




Join an international industrial organisation in Geneva as an FP&A CAPEX & Corporate Finance Specialist, overseeing Group investment performance, supporting budgeting and business planning, and providing financial insights to senior management and business units.


Responsibilities



  • Monitor and analyse Group investments, including new and second-hand assets, sale & leaseback transactions and industrial facilities.

  • Track investment spending against approved budgets and investment envelopes, identify variances and coordinate corrective actions.

  • Provide a consolidated cash and investment view at Group level, supporting management decision-making.

  • Act as a key finance partner during budgeting and business planning cycles, working closely with Business Units, Procurement and Finance teams.

  • Monitor the performance of investments on a quarterly basis, comparing actual ROI against the assumptions included in initial investment cases.

  • Analyse investment performance using financial indicators including ROI, NPV, payback and sensitivity analysis.

  • Contribute to the development of more efficient investment databases and reporting tools in collaboration with Data teams.

  • Lead the industrialisation and improvement of management reporting and investment performance dashboards.

  • Monitor corporate and transversal costs, including professional fees and other Group-level expenses.

  • Identify and monitor cost-saving initiatives and action plans, ensuring progress is tracked over time.

  • Prepare financial analyses, management presentations and executive-level summaries for senior management and shareholders.

  • Provide ad hoc financial analysis and support on strategic and corporate finance topics.

  • Contribute to the continuous improvement of FP&A, investment controlling and financial reporting processes.

  • Travel to the Group's offices in the Paris region approximately once per month, with increased travel required during the initial handover period.


Requirements



  • 5-8 years of professional experience in financial controlling, FP&A, investment controlling or a similar finance function; minimum 5 years required.

  • Experience in an industrial, infrastructure, telecommunications or asset-intensive environment is highly valued.

  • Strong experience in investment monitoring, budgeting, forecasting and financial performance analysis.

  • Advanced Excel skills, including price/volume/mix analysis, phasing and financial modelling.

  • Good understanding of P&L, balance sheet, intercompany transactions, multi-site and multi-currency environments.

  • Strong knowledge of investment and corporate finance concepts, including ROI, NPV, payback period and sensitivity analysis.

  • Ability to independently take ownership of complex and transversal topics with limited day-to-day supervision.

  • Strong ability to analyse financial information and translate it into clear, concise messages for senior management.

  • Strategic and transversal mindset, with an interest in investment and business topics beyond pure cost controlling.

  • Excellent communication and stakeholder management skills, with the ability to work across Finance, Procurement, Business Units and Data teams.

  • Fluent professional English, both written and spoken, as all reporting and management presentations are conducted in English.

  • Master's degree from a leading French business school, engineering school or university, ideally with a specialisation in Finance.

  • Previous experience in audit, consulting or transaction services is an advantage.

  • Autonomous, analytical and proactive, with strong business acumen and a pragmatic approach.

Job ID  40601
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