
Global Finance Controller
- Hybrid
- Sofia, Sofia, Bulgaria
- Financial Reporting
Job description
Our Company
Our mission at Dronamics is to improve economic opportunities and protect society through drone technology. To achieve this, we are developing a new type of aircraft, one that is remotely-piloted, extremely fuel efficient and can land nearly anywhere. It can transport up to 350 kg over 2,500 km, saving time, cost and co2 emissions. Apart from moving goods, it can serve other critical missions such as civil protection and public safety. This is the kind of technology that can transform whole economies.
At first, it didn't sound possible, but we keep proving it is, which is why we've called it “The Black Swan”. It can land on short airstrips, enabling on-demand point-to-point flights and autonomous logistics even to the most remote locations that would otherwise take days to reach over ground or sea.
We are starting with domestic air networks in Europe, bringing back to life the multitude of small airfields that are often unused, boosting local infrastructure and economies.
Job requirements
The Role
We are seeking an experienced Global Finance Controller to lead our financial reporting and control function. In this pivotal role, you will be responsible for overseeing accounting operations across multiple entities, ensuring accurate and timely financial reporting, and driving continuous improvement in our finance processes. You will manage both internal team members and external accounting partners while serving as the primary point of contact for audit-related matters. This role offers broad cross-functional exposure and the opportunity to shape the financial infrastructure of a growing organisation.
The Responsibilities:
Overseeing month-end and year-end closing procedures, ensuring accuracy and adherence to reporting deadlines across all entities.
Design, implement, and own world-class financial reporting processes, controls, and policies for management and statutory reporting, ensuring they are scalable, efficient, and audit-ready across all jurisdictions.
Lead all group consolidation activities for multi-entity financial statements, ensuring compliance with relevant accounting standards (e.g., IFRS or US GAAP).
Oversee and manage relationships with local accounting providers and external accounting partners across multiple jurisdictions.
Develop and maintain robust internal control policies and procedures to ensure accuracy and integrity of financial data.
Contribute to the preparation of budgets and financial forecasts, monitor performance against budget, and provide insights and recommendations.
Collaborate/coordinate with FP&A, Operations, and key stakeholders to support business planning and decision-making with accurate financial data.
Serve as the primary liaison for external auditors, coordinating audit processes for both group and individual company audits.
Identify, assess, and manage financial risks, working with senior leadership to develop risk mitigation plans.
Own cash-flow management and treasury functions, including banking relationships and liquidity planning.
Own the financial architecture within our ERP system (NetSuite), driving optimization, automation, and data integrity for accounting and reporting processes.
Lead, mentor, and develop a high-performing finance team across multiple locations.
Challenge figures and processes to ensure accuracy and efficiency.
Your Qualifications:
Degree in Finance, Accounting, Economics, or a related field.
Professional qualification such as CPA, CIMA, ACCA, or CFA preferred.
Minimum 5 years of experience in a senior finance or controlling role.
Demonstrable experience in group-level consolidations and multi-entity financial reporting.
Proven experience managing end-to-end external audits for a multinational, multi-entity group.
Experience working with ERP systems, preferably NetSuite, for accounting and reporting.
Knowledge of cash-flow management, treasury operations, and banking platforms.
Working knowledge of international tax principles (e.g., transfer pricing, VAT/GST) with the ability to collaborate effectively with specialist tax advisors.
Exceptional numerical and analytical problem-solving skills.
Strong process management experience as well as continuous improvement mindset.
Ability to work under pressure and to tight deadlines.
Strong interpersonal and communication skills with the ability to influence at all levels.
Demonstrates a spirit of learning, coaching, and professional development.
What We Offer:
A competitive compensation package for a Series A company.
Lots of opportunities for personal and professional growth on a global level.
Tons of work, zero office politics - we are here to impact the lives of millions of people around the world.
A once-in-a-lifetime opportunity to frame the future of how the world moves goods.
Location:
This role will be based in Sofia, Bulgaria.
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