Senior Manager – Financial Consolidation & FX Risk

Ebury
London
Workplace: HybridFull timeFunction: Legal, Risk & ComplianceExperience: 7+ yearsEducation: bachelorsSkills: ["Leadership","Problem-solving","Stakeholder management","Project management"]

Lead global multi-currency close operations, including direct foreign currency translation, remeasurement, and intercompany accounting under IFRS (IAS 21). Own CTA/FX processes and deliver treasury FX risk strategy in partnership with Treasury, covering hedging across forwards, swaps, and options under IFRS 9. Drive transformation initiatives using NetSuite and treasury management systems (TMS) to automate FX exposure tracking, valuations, and executive reporting.

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FursaFursa
Ebury
Ebury
2 days ago

Senior Manager – Financial Consolidation & FX Risk

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Last checked: 8 hours agoStatus: Live

Job Summary

Lead global multi-currency close operations, including direct foreign currency translation, remeasurement, and intercompany accounting under IFRS (IAS 21). Own CTA/FX processes and deliver treasury FX risk strategy in partnership with Treasury, covering hedging across forwards, swaps, and options under IFRS 9. Drive transformation initiatives using NetSuite and treasury management systems (TMS) to automate FX exposure tracking, valuations, and executive reporting.
Location: London
Workplace: Hybrid
Employment Type: Full time
Job Function: Legal, Risk & Compliance
Seniority: Sr. Manager level

Key Responsibilities

  • •Lead global multi-currency monthly close operations across international legal entities, including intercompany eliminations, equity reconciliations, and CTA roll-forward.
  • •Direct foreign currency translation (CTA), remeasurement, and intercompany accounting in full compliance with IFRS (IAS 21).
  • •Partner with Treasury to design, execute, and monitor balance sheet and cash flow hedging strategies across derivatives (forwards, swaps, options) under IFRS 9.
  • •Drive finance and treasury transformation initiatives, including ERP (NetSuite) and TMS enhancements to automate FX exposure tracking and valuation gains/losses.
  • •Advise on international intercompany financing, net investment hedging strategies, and settlement timing to reduce P&L volatility, while delivering executive reporting on FX analyses and project updates.

Pay and Benefits

Perks:Health InsuranceSocial Benefits

Key Requirements

  • •7+ years of hands-on experience in global financial consolidation, FX accounting, and treasury management, including consolidating multi-currency subsidiaries and managing derivative portfolios.
  • •Strong technical expertise in IFRS, specifically IAS 21 and IFRS 9 (hedge accounting).
  • •Proven systems proficiency with ERP (NetSuite) and treasury management systems (TMS).
  • •Demonstrated ability to manage complex multi-currency accounting processes and/or lead system change initiatives.
  • •Bachelor’s degree in Finance or Accounting; ACCA, ACA, CPA, CTP, or PMP designation preferred.
Experience:7+ yearsFintechFinancial institutionBig 4TreasuryHedging
Education:Bachelor's in Finance or Accounting
Skills:LeadershipProblem-solvingStakeholder managementProject management
Certifications:ACCAACACPACTPPMP
Tech Stack:IFRSIAS 21IFRS 9NetSuiteTreasury Management System (TMS)DerivativesForeign currency translationForeign currency remeasurementHedge accountingCTA

Company Brief

Ebury
Provides international payments, FX, and treasury solutions for SMEs and mid-market companies, enabling cross-border transactions, multi-currency accounts, and financing services to support global trade and cash flow management.
Industry: Payments
Company Size: Enterprise (1,001+ employees)
Growth: Established Company
Funding: Private Equity Backed
Headquarters: London, United Kingdom
Founded: 2009
WebsiteLinkedIn