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Tim Beyers

CFO / DAF / Administrateur

Can work in or around Luxembourg

  • 49.6113
  • 6.12941
  • Suggested rate €1,100 / day
  • Experience 7+ years
Propose a project The project will begin once you accept Tim's quote.

This freelancer will be available again on 12/15/2022

Until 12/15/2022

Propose a project The project will begin once you accept Tim's quote.

Location and workplace preferences

Luxembourg, Luxembourg
Can work onsite in your office in
  • around Luxembourg and 50km


Freelancer code of conduct signed
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Verified email


  • Dutch

    Native or bilingual

  • English

    Native or bilingual

  • French

    Native or bilingual

  • German



Skills (9)

Tim in a few words

L'expérience de Tim sera précieuse pour les entreprises qui traversent une phase de transformation : il peut les accompagner dans de grands projets tels que les intégrations post-fusion, les mises en œuvre d'ERP, la centralisation de fonctions au Luxembourg ou l'expansion internationale. Il peut aussi intervenir pour combler temporairement un vide inattendu dans votre équipe.
Son expérience en matière de compliance peut également être utile pour structurer les entreprises en expansion ou celles qui viennent de connaître une forte croissance.
Il a l'habitude de penser en travers des départements et a toujours à cœur le meilleur intérêt de l'entreprise.
C'est un auditeur actif qui prend en compte les contributions de tous les participants. Il n'hésite pas à remettre en question les évidences afin de découvrir les hypothèses sous-jacentes. Il peut également absorber et structurer rapidement de grandes quantités d'informations nouvelles et complexes.



Independent Director / Interim Manager

Bertrange, Luxembourg

June 2021 - Today (1 year and 3 months)

CTG Luxembourg P.S.F.



October 2019 - December 2020 (1 year and 2 months)

• Coordinated the daily accounting of 2 legal entities
• Supervised a finance team of 7 people, including payroll
• Participated in the monthly closing
• Prepared monthly forecasts and annual budgets, using business input
• Controlling of the results and performance of the different activities
• Supported the business with pricing and profitability analysis of contracts and projects
• Implemented process improvements
• Ensured correct implementation of CTG's accounting policies (US GAAP)
• Improved the internal control environment and ensure compliancy with SOX and PSF
• Managed the relationship with internal and external auditors
• Managed the external reporting including statutory accounts and tax declarations

Gates Corporation

Senior Finance Controller Luxemburg, Belgium and Italy


July 2018 - September 2019 (1 year and 2 months)

• Manage Finance Department for Luxemburg, Belgium and Italy (AP, AR and GL)
• Preparation of budget and rolling forecasts
• Monthly Group Reporting (USGAAP) and Annual Statutory reporting
• Tax (transfer pricing) / VAT
• Ensure adherence to SOX framework
• Establishment of principal entity in Luxemburg
• Responsible for corporate functions (board meetings, shareholder resolutions and meetings, etc)

Tar Heel Trading, a subsidiary of Family Dollar Stores/Dollar Tree

Director, International Operations/Finance - Luxembourg


January 2013 - May 2017 (4 years and 4 months)

• General management of the company
• Developed and implemented business processes with the teams in Hong Kong and USA to support business growth (0 to $700 million USD in 2 years)
• Recruited and developed team in Luxemburg
• Established accounting system, accounting processes and internal controls for both the international intercompany trading and local activities
• Responsible for statutory reporting (LuxGAAP), tax filings and month-end/ year-end closings (USGAAP)
• Responsible for corporate functions (board meetings, shareholder resolutions and meetings, etc)
• Maintained local relationships with banks, auditors and legal advisors
• Managed cash in Luxemburg and Hong Kong

Vodafone Procurement Company sarl

Principal Finance Manager

December 2008 - December 2012 (4 years)

· Provide financial support to commercial teams in complex contract negotiations (e.g. multi-year software license deals for the whole Vodafone group)
· Liaise with Tax team to resolve VAT and transfer pricing issues
· Set up financial processes to support exponential growth in business volume
· Manage further development of the FI and CO modules of the SAP system through dedicated contractor and with 3rd party developers.
· Past duties include managing month end closing (IFRS) with the dedicated team in the Shared Service Centre in Budapest (Hungary) (team of 30 people), establish year end accounts (LuxGAAP) and managing year end audit in Luxemburg and the Shared Service Centre

Archand Holding


September 2007 - November 2008 (1 year and 2 months)

Assistance in the management and the expansion of our investment portfolio, evaluation of investment proposals, due diligence, deal closing Preparing reports for internal management and the board of directors Liaise with external accountants and advisors Tasks specifically related with our investment portfolio: o Assisting in the operational and organizational issues o Analyzing costs, sales and investment requests o Budgetary control, monitoring liquidity o Analyzing monthly / quarterly performance reports, eventual discrepancies with objectives o Supervising year-end closings o Ensure consistency and standardization of reports

HENKEL - Henkel

Production Controller

August 2005 - August 2007 (2 years)

Establish budgets for production site and supporting functions Monthly closing & management reporting Ad hoc analysis (variances versus budget/previous year; capital expenditure) Member of Chemolux Management Team

HENKEL - Henkel

Process specialist

January 2001 - January 2005 (4 years)

Subteam lead for Europe and North America for "Profit Centre Accounting" (PCA) Design, validate and improve processes for PCA-module in SAP. Implement these processes in Henkel companies in Europe and North America (including integration Dial)