Are you a hands-on Finance Manager, ready to be part of a success-driven company, that truly values people’s lives? Then keep reading!
Our client is a fast-growing BPO provider and partner to the biggest global brands. They are looking for a Finance Manager to lead their Spanish branch, and ensure that financial goals are met and operations run smoothly. You will be responsible for all daily financial activities, including accounting, budgeting, cash management, forecasting, financial analysis, and financial reporting to HQ.
You would be a great fit if you have proven financial controlling experience, great attention to detail, and a go-getter mindset. Don’t miss out on being part of an awesome team!
Tasks
- Responsible for the Spanish unit finance operations (AR, AP, Cash, GL functions)
- Report monthly P&L, Cashflow, and Balance Sheet to HQ
- Lead the preparation of annual budgets and forecasts, ensuring alignment with organizational goals
- Act as a strategic business partner to the Europe EVP, supporting all financial decisions such as pricing strategies, client and supplier negotiation, treasury, salary increments, and ad-hoc financial analysis
- Ensure timely and accurate financial reporting and analysis, and provide regular reports and operational KPIs to the senior management, identifying areas of concern
- Oversee the monthly payroll for the Spanish unit (reconciliation, payroll accounting, etc), by collaborating with the HR team and external providers
- Manage relationships with external auditors, tax agents, banks, and other stakeholders, and ensure compliance with all relevant laws and regulations
- Implement and enforce internal financial controls, ensuring compliance with the authority-level matrix
- Collaborate cross-functionally with HR, Legal, IT, Facilities teams, and intragroup finance leaders to optimize financial processes and controls
Requirements
- Full professional level of English
- Degree in Accounting, Economics, Finance or similar field
- 5+ years of experience in financial control and reporting to a global/international group
- Previous background experience in accounting or/and auditing
- Experience in managing a team
- Strong knowledge of Spanish GAAP
- Advanced user of Excel, with knowledge of dashboarding tools (e.g., Tableau, PowerBI) as a plus
- Proficiency in ERP systems (e.g., Microsoft Dynamics, SAP) and financial reporting tools (e.g., Tally ERP, Hyperion)
- Hands-on, strong integrity and accountability, and the ability to work as a business partner to local operations
- Critical thinking approach, resilient and resourceful, thriving in a fast-paced environment
- Strong organizational and analytical skills with an eye for detail, and the capacity to multitask and get things done
Benefits
Competitive salary
Hybrid model (3 days at the office)
Flexible remuneration plan (ticket restaurant, medical insurance, etc)
24 vacation days
Strong learning and development plans for your career growth
International, open-minded and united team
Step 1: Interview with our Recruiter to get to know you better
Step 2: Interview with the Executive VP EMEA
Step 3: Case study with the Executive VP EMEA + CFO