Job Description: Record, process, and validate financial data, including consolidation of investment-related figures. Coordinate and prepare timely and accurate financial and regulatory reports. Analyze financial data to support business cases, accounting assessments, and forecasting processes. Support the development and implementation of finance-related policies, procedures, and controls. Act as a financial advisor to internal and external stakeholders (e.g. auditors, regulators, tax authorities).Ensure implementation of financial recommendations and monitor their impact. Oversee the reporting cycle and assist in reviewing and explaining periodic financial results. Ensure compliance with applicable laws, internal policies, and risk frameworks. Identify inefficiencies in financial processes and contribute to improvements through change initiatives.Share knowledge with colleagues and support the development of junior team members. Requirements Required Skills: 5–7 years of relevant experience in finance, preferably in investment reporting or financial services. Experience guiding or mentoring junior colleagues (minimum 1 year). Strong analytical and problem-solving skills. Solid understanding of IFRS and financial reporting standards. Experience with financial consolidation tools and reporting systems (e.g. SAP, Oracle, Workiva, Tagetik).Proficiency in Excel, including advanced functions (e.g. pivot tables, lookups, financial modeling). Familiarity with regulatory frameworks (e.g. Solvency II, DNB reporting).Strong communication skills and ability to translate complex financial data into actionable insights.