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Corporate Business Controller (h/f)

Réf 1252508

Actualisé le 21 août 2020 par GALACTIC

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At Galactic, we believe that Food Safety, Nutrition and Natural Solutions through Green Chemistry will become more and more important for the future of Humanity.

Since 1994 we specialize in fermentation, we offer a broad range of natural antimicrobials and clean label solutions. Always produced by fermentation, we offer innovative natural solutions including lactic acid, lactates, and other derivatives. Our subsidiary FUTERRO is licensing proprietary technologies for the production of Lactic Acid and PLA, a new Bioplastic made from lactic acid.

With headquarters in Belgium, production facilities in the United States (Milwaukee), China (Guzhen-Anhui) and Europe (Escanaffles), and sales offices in Belgium (Brussels), China (Bengbu-Anhui), United States (Milwaukee), Japan (Tokyo) and Brazil (Curitiba), Galactic employs 250 people worldwide and is active in more than 80 countries.

To reinforce our Corporate Finance-Controlling team based in Belgium, we are looking for a

Corporate Business Controller

Reporting to the Corporate CFO in charge of Finance, Controlling and Business Information

Focusing on improving business performance, reporting and planning. Guaranteeing the integrity and accuracy of financial & business information (from our multiple ERP databases) needed to perform the business performance analysis of the Galactic Group entities (Mother company and subsidiaries). Overseeing the control systems, transaction-processing operations, and policies and procedures of the different Galactic entities. Developing and monitoring business performance metrics (business and financial KPIs, including the KPI balance sheets: DSO, DPO, DIO, Cash Flow, ¿). Focusing on a good reporting and preparing financial and business reports (after collecting and checking information from the different entities), the goal of which is to ensure efficient and business oriented monthly performance reporting and to provide management with information and advices useful for the decision-making process (realizing the necessary REBITDA and cash conversion improvements). Preparing annual and periodic consolidations (financial and business-related). Managing the budget process and guaranteeing the consistency thereof. Highlighting and summarizing the gaps between actual and budget figures.
  • Immobilier, assurances, finance et droit / Banques

Comment postuler ?

Nom de l'employeur
Personne de contact
Mr Belgium Stepstone
Mode de présentation

postuler via le site Web

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