
Unknown Employer · Basel
We're here to make you feel sexy, empowered & UNSTOPPABLE. Founded in 1984, TALLY WEiJL has been on a crazy journey to celebrate fashion, independence, fun, lo...
We're here to make you feel sexy, empowered & UNSTOPPABLE.
Founded in 1984, TALLY WEiJL has been on a crazy journey to celebrate fashion, independence, fun, love, & community for close to
40 years.
Today we’re present in 35 markets with about 400 stores, online presence, and 3m+ fans across social channels.
Location: Basel, Switzerland
On-site: Monday to Friday
We are looking for a Group Controller & Treasury Manager to lead our Finance operations and ensure the smooth running of all
controlling and treasury activities at group level. This is a key, hands-on leadership role that combines financial control, cash
management, and business partnering.The ideal candidate is a highly analytical and business-minded finance professional with
strong treasury knowledge and proven experience managing a small finance team in an international retail environment.
reporting.
Would you like to become a part of our fashion story and an enthusiastic member of our TALLY Family? Then share your individual
talent with us and send us your application! Or contact directly our Internal Recruiter at c.barone@tally-weijl.com
We’re the Moonpig Group – home to Moonpig, Greetz, Red Letter Days and Buyagift – and we’re on a mission to make people feel loved, celebrated and remembered. Whether it’s a card that gets them laughing out loud or a gift that makes their day, we help people stay close, no matter the miles. We’re proud to be leading the online gifting revolution, with brilliant products, clever tech and a whole lot of heart. Our platform makes it easy to create moments that matter – packed with personal touches and delivered with care. We’re not just about selling cards or gifts – we’re here to spread joy, spark smiles and make every celebration feel extra special. And with values that guide how we work and support one another, we’ve built a place where people (and ideas) can truly thrive. If you’re looking to make an impact, bring your spark and be part of something meaningful – we’d love to have you on the team. 🌙🐷 We’re looking for a Group Financial Controller to lead a broad portfolio across Group reporting, governance, compliance, and finance operations within a listed business environment. This is a high-impact role with significant visibility across senior leadership, the Audit Committee, and Board, offering the opportunity to influence how Finance supports the wider business as we continue to scale. This role offers a unique opportunity to step into a broad leadership position with exposure across multiple specialist areas including external reporting, tax, treasury, sustainability reporting, controls, compliance, risk management, and finance transformation. You’ll join a fast-paced, collaborative environment where curiosity, commercial thinking, and adaptability are highly valued. There’s plenty of scope to shape the role over time as priorities evolve and new regulatory requirements emerge. We would be open to candidates that would like to take this role on a permanent or a 12 month Fixed Term Contract basis. This is a hybrid role in our London Head Office (2 days a week -Tuesdays and Thursdays)
S-RM RECRUITMENT: Group Financial Controller, UK WHO WE ARE S-RM is a global intelligence and cyber security consultancy. Since 2005, we’ve helped companies, governments and private individuals solve some of their most complex challenges. We’ve been able to do this because of our outstanding people. We’re committed to developing bright, curious, enthusiastic people who want to think critically, solve complex problems, and achieve success. But we also know that work isn’t everything. It’s about the lives and careers it helps us build. We’re immensely proud of this culture and we invest in our people’s wellbeing, learning, and ideas every day. We’re excited you’re thinking about joining us. THE ROLE S-RM are looking for a Group Financial Controller to join our finance team at an exciting time for our business. This is a rare opportunity to join a fast-paced and rapidly evolving global organisation. We are looking for someone who is adaptable, can be part of a team and wants to grow with the business. In this role, you are likely to take on the following tasks on a day-to-day basis: * Production of monthly Group Management Accounts * Business Partnering and involvement in Budgets/Forecasts * Reporting and development of advanced Financial KPI’s * Ultimate ownership of Balance Sheet controls and reconciliations * Management of statutory audits, working with auditors and managing internal requirements * Ad hoc financial analysis and modelling * Manage and review all Tax and VAT submissions, liaising with external Advisors where necessary * Advise the business on any changes in Accounting Standards * Global cash flow management * Global treasury management, including FX * Manage the accounting treatment of Share Option Scheme * Ownership of intercompany accounting * Manage the integration/Set up of new Entities * Managing a small team The role will be based in our Manchester office, however we have flexible working arrangements available. What we are looking for We think that candidates with the following skills and experience are likely to succeed as the Group Financial Controller at S-RM. However, if you do not think that you meet all of the criteria below but are still interested in the role, please apply. Nobody checks every box — we’re looking for candidates who are particularly strong in a few areas, and have some interest and capabilities in others. We’re looking for someone that is able to adapt to change and work comfortably in a fast-paced environment, this person will have some or all of these skills: * Bachelors degree in Accounting or Finance or equal relevant previous experience in a similar role; * Full membership of a relevant professional accounting body (CIMA, ACCA or ACA or equivalent); * Experience working with External Stakeholders; * Experience with a broad array of finance software packages; * Experience of process improvement; * Confidence managing multiple projects to tight deadlines; * Comfortable presenting at a senior level; Candidates must have permission to work in the UK by the start of their employment OUR BENEFITS We offer thoughtful, balanced rewards and support to help our people do their best work and live their lives outside it, this includes but is not exhaustive of: * 23 days holiday per year in addition to bank holidays (+1 day for every day of service up to a maximum of 28 days); * Matching pension contribution up to 7% (up to a maximum of 14% combined), and financial education; * Hybrid working and flexible working hours Parental Support: * Fertility treatment leave – 5 days of leave per cycle of treatment per year; * Maternity leave – 26 weeks of full pay followed by 13 weeks of half pay; * Paternity leave – 6 weeks of full pay. Various Health and Medical Benefits including: * Medical Aid and Gap Cover Policy (taxable benefit) for you and your family; * Free access to the world-famous mindfulness app Headspace; * EAP programme for you and your immediate family. THE APPLICATION PROCESS We want to get to know you, and for you to get to know us, to see if we’d be a good fit. We are responsive and respectful of people’s time throughout our hiring process. A typical application process includes: 1. Initial screening of your application by our recruiting team. 2. Interview to assess your baseline technical skills. 3. An interview to discuss your previous experience, broader competencies, and suitability for the role. The easiest way to get your details to us is to send a CV to this LinkedIn ad. S-RM nurtures a culture of equality, diversity and inclusion and we are dedicated to developing a workforce that displays a variety of talents, experiences and perspectives.
Treasury Controller Business Area Naval Saab is a place where teamwork makes things fly. Literally. Join us and experience our supportive and friendly workplace. Do you want to work in a dynamic and international environment at a company where you as an employee get great responsibility and good development opportunities? We need you who want to take part in our continued journey towards being a company at the forefront. Maybe it might be you we are looking for? Your role As a Treasury Controller you will be a part of the Finance team at BA Naval and you will be one out of two Treasury Controllers. As a Treasury Controller, you will support the BA in treasury matters, mostly relating to currency risks and trade finance solutions. You need to be able to identify and detect treasury related questions in order to give adequate attention and action for those matters. You will support the sales organization and projects with advice regarding fx currency risk exposure and trade finance related matters in tenders and throughout the project life cycle. You will be supported by Group Treasury, located in Linköping. The key responsibility areas will include: Currency risk - identify and manage currency exposure and flows via Group Treasury Trade Finance - identify and manage need for trade finance products and solutions Cash management - responsible for the bank account structure within the cash pools, manage funding and deposits and cash flow forecasting for the BA Insurance - update information and values for insurances policies Reporting - treasury related reports and accounting for month end closing Construct routines for the BA in order to be compliant with Saab Treasury Policy and Directives The above responsibilities involves support to procurement as well as the sales organization and is important both during the Business Winning and the Business Execution phase. Your profile We are looking for an action oriented Treasury Controller with communication skills and have the will to cooperate with others. You will have a lot of internal contacts and will work in close cooperation with sales representatives as well with project managers and Group Treasury. To be successful in this position it is important to have integrity, analytical- and pedagogical skills, in order to be able to understand and explain the impact of treasury related matters. You should also be business oriented and have basic knowledge of project management. Preferably, you are a graduate from a Business School/University with some years of experience from similar assignment. This position requires that you pass a security vetting based on the current regulations around/of security protection. For positions requiring security clearance additional obligations on citizenship may apply. Kindly observe that this is an ongoing recruitment process and that the position might be filled before the closing date of the advertisement. What you will be part of Explore a wealth of possibilities. Take on challenges, create smart inventions, and grow beyond. This is a place for curious minds, brave pioneers, and everyone in between. Together, we achieve the extraordinary, each bringing our unique perspectives. Your part matters. Saab is a leading defense and security company with an enduring purpose, to help nations keep their people and society safe. Empowered by its 28,000 talented people, Saab constantly pushes the boundaries of technology to create a safer and more sustainable world. Saab designs, manufactures and maintains advanced systems in aeronautics, weapons, command and control, sensors and underwater systems. Saab is headquartered in Sweden. It has major operations all over the world and is part of the domestic defense capability of several nations. Read more about us here