flow
1.000 ofertas de empleo de flow en España. Encuentra ofertas actualizadas diariamente de los principales portales de empleo.
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Global Treasury Lead
Hace 2 días
Seville, Andalucia, España Opdenergy Jornada completaOpdenergy, a growing renewable energy company, is seeking a Treasury Specialist to join the Sevilla team. You will manage daily cash, oversee international payments, and ensure strong controls across multiple jurisdictions in a dynamic global environment.The ideal candidate has 5+ years in corporate treasury, advanced English, SAP and SAGE XRT experience,...
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Islas Baleares, España HBX Group Jornada completa 32.000 € - 52.000 € Por obraHBX Group, the leading technology partner in travel, seeks a Credit & Collections Executive to manage collections and reduce credit risk across a dedicated portfolio. You will ensure timely debt collection, support cash flow, resolve invoice questions, and maintain precise customer reconciliations.The role requires collaboration with internal teams and...
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Treasury Specialist
Hace 2 días
Cataluña, España Page Personnel Jornada completaTreasury Specialist with SAP Leading multinational company Leading multinational company Execute daily treasury operations, ensuring proper management and optimization of cash flow. Monitor, record, and reconcile all banking transactions, ensuring data integrity and accuracy. Manage available credit lines and ensure compliance with agreed terms. ...
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Cataluña, España Amazon Jornada completaDescription SHIFT PATTERN: RnF Night Shift 16:00-00:10 OR 18:00-02:10, Fixed Weekend Pattern Do you want to learn how the most complex transportation network is managed on a daily basis? Our entire business is focused on delighting our customers. We strive to stay agile from the second an order is placed online and throughout the seamless coordination of...
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Treasury Specialist: Flexible Hours
Hace 2 días
Madrid, Comunidad de Madrid, España Cabify Jornada completaCabify busca un Treasury Specialist para garantizar la eficiencia operativa de la posición bancaria y la precisión en la ejecución del flujo de caja, conectando el negocio local con la visión financiera global de la empresa.Se requiere entre 2 y 6 años de experiencia en tesorería, dominio de Excel/Google Sheets y capacidad analítica para trabajar en...
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Group NWC, Cash Flow Controller
Hace 4 días
Barcelona, Cataluña, España Jobtailor Jornada completaResponsibilities Monitor and analyse net working capital, explaining key movements vs prior periods, budget and forecast Deep dive into receivables, payables, inventory and operational drivers Identify risks, anomalies and opportunities to improve cash generation Translate financial movements into business-driven insights in coordination with key...
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Strategic Credit
Hace 3 días
España Scania Jornada completaScania Ibérica busca un/a Credit & Risk Manager para liderar la estrategia de Crédito, Riesgo y Accounts Receivable. Se responsabilizará de optimizar el cash flow y ser socio estratégico de Retail, impulsando iniciativas de digitalización y automatización. El rol exige experiencia en gestión de riesgo, liderazgo de equipos y un alto nivel de...
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Strategic Credit
Hace 3 días
España Scania Jornada completaScania Ibérica busca un/a Credit & Risk Manager para liderar la estrategia de Crédito, Riesgo y Accounts Receivable. Se responsabilizará de optimizar el cash flow y ser socio estratégico de Retail, impulsando iniciativas de digitalización y automatización. El rol exige experiencia en gestión de riesgo, liderazgo de equipos y un alto nivel de...
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Spain Production Finance Leader — Cash Flow
Hace 3 días
España Amazon Jornada completaAmazon MGM Studios is expanding its EU film and TV production finance team in Spain. You will help manage cash flow, validate cost reports, and deliver insights across currencies and territories to keep productions funded accurately and on track. The role involves onboarding local accounting teams, navigating SITC incentives, and developing smarter reports...
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Stock Flow
Hace 4 días
Madrid, España JACQUEMUS Jornada completaLA MAISON JACQUEMUS is seeking a Stock Associate in Madrid to ensure smooth product flow from delivery to sales floor.La siguiente información ofrece un resumen de las habilidades, cualidades y cualificaciones necesarias para este puesto.You will keep the stockroom organized and reliable, coordinating with HQ in Paris and the boutique team.You will monitor...
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Treasury Consultant | Cash Flow, Banking Ops
Hace 3 días
Madrid, Comunidad de Madrid, España BIP Spain Jornada completaBip Iberia is seeking a Finance professional in Madrid to manage payments and collections, monitor cash flows and generate management reports.Lea atentamente toda la información sobre esta oportunidad y luego utilice el botón de solicitud de abajo para enviar su CV y su candidatura.The role requires a degree in business or accounting, 2–4 years in...
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Assistant Finance Manager: Tax, Audits
Hace 3 días
España Clyde & Co Jornada completaClyde & Co in Madrid is looking for a finance professional to handle monthly and annual tax returns, ensuring compliance and accuracy in reconciliations. The successful candidate will liaise with auditors, manage cash flows, and support accounts payable functions. A degree in Business, Finance, or Accounting is essential, along with strong English skills...
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Senior Accountant: Cash Flow, Tax
Hace 3 días
España hiring Jornada completaHiring is seeking a proactive Senior Accountant to join our Finance team in Málaga. This hands-on role owns the accounting cycle from general ledger to month-end close, ensuring accurate records and timely reporting for management. You will support budgeting, cash flow planning, VAT and tax compliance, audits, and financial analysis while maintaining...
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Senior Treasury Analyst
Hace 3 días
España pluxee Jornada completaPluxee is seeking a Senior Treasury Analyst in Madrid to support treasury operations, cash flow monitoring, liquidity planning, and financial reporting. You will partner with treasury managers, accounting, and banking partners to ensure accuracy and effective governance. The ideal candidate has deep expertise in cash forecasting, liquidity management, and...
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Treasury Manager: Cash Flow
Hace 5 horas
Madrid, España Nordex Group Jornada completaNordex Group in Madrid seeks a Treasury Manager to lead liquidity planning and cash management for its Concrete Towers team. You will forecast cash flows, monitor liquidity risks and optimize working capital across the business, collaborating with Finance and other departments.The role requires a degree in Economics/Finance, with at least six years in...
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Senior FP&A Manager – Cash Flow
Hace 5 horas
Barcelona, Cataluña, España Adevinta Jornada completaAdevinta, a global leader in digital marketplaces, seeks a Senior FP&A Manager in Barcelona to drive cash flow forecasting, financial planning, and strategic initiatives across business units. You will partner with senior leaders to optimize financial performance, consolidate reporting, and deliver data-driven insights using BI tools.The role emphasizes...
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Global Treasury Specialist, Hybrid
Hace 1 día
A Coruña, Galicia, España Opdenergy Jornada completaOpdenergy busca un/a Especialista de Tesorería para unificar la gestión de caja, liquidez y pagos en un entorno internacional. Trabajará en Madrid, con un modelo híbrido y colaboración estrecha con Contabilidad, FP&A y Finanzas de países diferentes.Se requiere al menos 5 años en tesorería corporativa, dominio de Excel y SAP, y experiencia con SAGE...
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Senior Accountant: Cash Flow, Tax
Hace 1 día
Málaga, Andalucia, España hiring Jornada completaHiring is seeking a proactive Senior Accountant to join our Finance team in Málaga. This hands-on role owns the accounting cycle from general ledger to month-end close, ensuring accurate records and timely reporting for management.You will support budgeting, cash flow planning, VAT and tax compliance, audits, and financial analysis while maintaining...
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Barcelona, Cataluña, España Amazon Jornada completaDescription SHIFT PATTERN: RnF Night Shift 16:00-00:10 OR 18:00-02:10, Fixed Weekend Pattern Do you want to learn how the most complex transportation network is managed on a daily basis? Our entire business is focused on delighting our customers. We strive to stay agile from the second an order is placed online and throughout the seamless coordination of...
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Spain Production Finance Leader — Cash Flow
Hace 1 día
Madrid, España Amazon Jornada completaAmazon MGM Studios is expanding its EU film and TV production finance team in Spain. You will help manage cash flow, validate cost reports, and deliver insights across currencies and territories to keep productions funded accurately and on track.The role involves onboarding local accounting teams, navigating SITC incentives, and developing smarter reports...