Accuracy is everything. Embankment delivers tech-powered fund services to Europe’s alternative fund managers through a proprietary software platform and operated by our service organization.
Backed by leading investors and trusted by 250+ funds across Europe, we combine deep financial expertise with modern technology to turn complexity into clarity.
We’re 60+ employees across Copenhagen plus offices in Aarhus, Stockholm, Oslo and Luxembourg.
As Finance Director, you will play a central role in the finance team and hold overall responsibility for ensuring a professional, efficient, and scalable finance function that supports Embankment Group’s strategic objectives. You will be responsible for the day-to-day operations of the finance function and act as a close sparring partner to the CFO.
Your primary responsibilities will include, among others:
Responsibility for accounting, controlling, as well as budgeting and budget follow-up
Ensuring accurate and timely payroll processing and execution of other payments
Ongoing invoicing of customers and effective accounts receivable follow-up
Liquidity management across the organization, including preparation of rolling 6–12 month cash flow forecasts
Ensuring correct reporting and timely payment of taxes and VAT across the group’s markets
Ensuring correct and continuous monitoring of key KPIs for the group
Preparation of financial input for monthly, quarterly, and annual reporting to management and the Board of Directors
Responsibility for the annual audit of the group’s entities
Optimization and further development of internal processes, systems, and reporting tools
Preparation of ongoing analyses and recommendations aimed at improving the company’s financial performance
Relevant higher education (e.g. cand.merc.aud., cand.merc.fir., HD(R), or equivalent)
Minimum 5–8 years of experience from a similar role, preferably from a growth company or an audit firm
Strong competencies within accounting, controlling, liquidity management, and financial reporting
Experience with IFRS or the Danish Financial Statements Act, as well as knowledge of company law matters
Experience managing and organizing business activities across borders in the Nordics or the EU
Experience with implementing business intelligence software and optimising ERP and reporting systems
Solid understanding of business economics and the ability to translate numbers into strategy
Fluent in Danish and English, both written and spoken
Analytical and structured with strong attention to detail
Business-oriented and strategically minded
High level of integrity and sense of responsibility
Ability to communicate complex financial matters clearly and understandably
Motivated by building, developing, and creating processes in a growing organization
A natural leader who can engage and develop employees
A key role in an ambitious company with strong growth and an entrepreneurial spirit
Close collaboration with executive management
The opportunity to influence the company’s financial structure and development
A dynamic and informal working environment with a high pace and a high degree of freedom under responsibility
Competitive compensation package based on qualifications
This job comes with several perks and benefits
