Corporate Financial Controller - Revenue Management
Madrid, Spain – Hybrid
Permanent
At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for the long-term to help our clients, our people and the world to prosper.
As a future Corporate Financial Controller, you will report to Senior Financial Controller, and you will be part of AXA IM Real Estate.
DISCOVER your opportunity
The Corporate Financial Controller will be responsible for producing monthly revenue reports.
Working within the finance department's team dedicated to revenue generation and invoicing, the Financial Controller operates at the intersection of the accounting team and management control.
This role involves global revenue recognition for AXA IM Real Assets, collaborating closely with international teams across entities.
Your role and responsibilities will include:
1) Revenue Generation and Monitoring:
* Contract Modelling: Collaborate with management controllers, Fund Management, Group Controlling, and Legal teams to model new product contracts and fee structures.
* Data Verification: Ensure accuracy of contractual data and billing bases, collect updates from Business or Middle Office teams as needed.
* Revenue Control: Generate and validate revenue figures using a dedicated tool in alignment with closure schedules.
* Approval Processes: Secure validations from Fund Management teams.
* Coordination: Partner with management control to ensure the completeness of monthly revenue data.
2) Billing and Invoice Issuance:
* Data Integration: Transfer accounting entries from the transaction system to the financial accounting tool.
* Invoice Support: Assist with issuing invoices directly from the accounting system.
3) Coordination and Support:
* Portfolio Management: Actively participate in defining the assigned scope, such as fund organization and new acquisitions, while implementing contractual terms.
* Contract Lifecycle Coordination: Coordinate with Business and Legal teams to track contract deadlines and anticipate renewals.
4) Additional Duties:
* Process Improvement: Contribute to enhancing processes and tools within the Finance team.
* Risk and Control Framework: Strengthen the risk and control environment.
SHARE your unique expertise
We welcome different combinations of skills & experiences.
Your qualifications and experience:
* Degree from a Business school with a focus on finance and management control.
* 5 years of experience in audit, asset management, or management control.
Your knowledge and skills:
* Familiarity with the CODA system is a plus
* Strong proficiency in MS Office (Excel, PowerPoint, Word).
* Operational-level English required.
* Proactive, autonomous, organizational skills, team player and flexibility to learn and grow in a fast-paced environment.
We would love to know more about you. Let’s connect! Send us your resume.
#J-18808-Ljbffr