Flowdesk

Senior Financial Controller (F/M/D)

🇫🇷 Paris, FR Hybrid Finance, Legal & Compliance Full time Senior Posted May 12, 2026
LocationParis, FR
WorkplaceHybrid
EmploymentFull time
SenioritySenior
CategoryFinance, Legal & Compliance
LanguageEnglish
PostedMay 12, 2026
Last verifiedMay 12, 2026

JobGrid listing details

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Key details
1 location, Finance, Legal & Compliance, Hybrid, Senior, Full time
Current openings
1 active jobs
Original language
English
Source and freshness
Collected from public career pages and reviewed through JobGrid.eu source availability checks. Last verified: May 12, 2026.
Apply path
JobGrid.eu sends candidates to the original application page and adds non-personal referral parameters.

Flowdesk's mission is to build a global financial institution for digital assets, one designed from the ground up for market integrity and efficiency.

To achieve this in a rapidly evolving market, we apply a disciplined, first-principles approach to everything we do. This approach is embedded in our core services, from institutional liquidity provision, trading solutions, OTC execution to our comprehensive treasury management offerings. This is how we cut through the noise and build robust and scalable systems across all our business lines.

We seek individuals who are driven by this systematic approach. Joining Flowdesk means you will be a key contributor in building and scaling a more transparent and efficient financial markets infrastructure.

We are seeking a highly motivated and detail-oriented Senior Financial Controller. Reporting to the Group Financial Controller, you will be responsible for the monthly management and annual statutory reporting close of key group entities, as well as assisting with group consolidated reporting. You will be working closely with the group finance team and other key senior stakeholders in the wider company, as well as external partners and advisers.

Key Responsibilities

  • Efficiently produce accurate monthly management accounts for multiple assigned key Group entities, ensuring comprehensive financial oversight and control. Assist with other group entities as required
  • Assist with the consolidation of the group financials for monthly management reporting, quarterly closes and annual statutory reporting
  • Ensure all financial elements (Assets, Liabilities, Income, and Expenditure) are correctly accounted for within a robust control environment
  • Bank account and cash management, including ensuring all invoices are paid and receivables collected on time
  • Approver and checker for allocated payments and transactions ensuring appropriate management control and ‘4 eyes’ principles are followed
  • Develop and document business processes and accounting policies to maintain and strengthen internal controls
  • Ensure compliance with Statutory, Regulatory, and Tax obligations
  • Support with regulatory and licence applications as necessary
  • Lead year end statutory accounts and audit, liaising with external parties as needed
  • Engage in ad hoc project work to support business growth

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