Founded in 2021, Envirium LifeScience is a dynamic Belgian industrial group specializing in the production and processing of natural raw materials for the food, cosmetic, and healthcare industries. Deeply committed to sustainability, Envirium focuses on enhancing the livelihoods of farmers through responsible agricultural practices, including certified organic cultivation, particularly via their activities in Madagascar, Congo, and Papua New Guinea. The group prioritizes complete product traceability to meet the evolving demands of European and global markets. Beyond its innovative industrial processes, Envirium also invests in social and environmental projects to support local communities and biodiversity conservation efforts.
To support their growth, we are looking for a Finance Manager (M/F).
Responsibilities
As the Finance Manager, you will oversee the financial planning, and management of Envirium. You will work closely with the leadership team to ensure sustainable financial health and growth of the organization.
Your main responsibilities are:
- Lead financial planning, budgeting, and forecasting processes across all subsidiaries to ensure strategic alignment.
- Monitor and manage cash flow to ensure liquidity for business operations and strategic initiatives.
- Conduct in-depth financial analysis to identify risks, opportunities, and provide recommendations for enhancing profitability.
- Oversee banking relations, and optimize capital structure, managing debt for favorable financing terms.
- Ensure compliance with accounting standards, regulatory requirements, and internal policies for transparency and governance.
- Implement and manage financial IT systems to improve reporting accuracy, data integrity, and cybersecurity.
- Oversee the daily financial, administrative, and human operations, including payment processing, account reconciliations, and interactions with external partners (head of accountings, auditors, HR, fiscal advisors, etc.).
- Support and guide teams while managing daily communications (emails, meetings, etc.) to ensure smooth operations and free up time for strategic initiatives.
Profile
- You have a master's degree in finance, accounting or business administration.
- You have 5 to 10 years' experience in corporate finance, treasury, accounting, planning and financial analysis.
- You have a proven ability to execute financial strategies that drive growth, profitability and business objectives.
- You can manage cash flow, debt financing, capital structure and risk to ensure the financial stability of subsidiaries.
- You will ensure compliance with regulatory requirements, accounting standards and best governance practices, overseeing internal controls.
- You demonstrate a real entrepreneurial spirit and define yourself as a team player.
Offer
- The opportunity to join a human-sized company, having an international impact and discussing with international stakeholders.
- Participate in the Group's strategic decisions in order to contribute to its future growth
- A full-time job with a competitive compensation package salary in line with your experience.
Your application and related information will remain strictly confidential.