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Banking and Finance Associate

hace 4 horas


Madrid, España Digital Tech Business A tiempo completo

Descripción del trabajo We are looking for a Financial Controller who can bring rigor, analytical depth, and strategic vision to a dynamic and fast‑growing environment. Experience in corporate groups, multi‑stakeholder contexts, or international companies is particularly valued. Inscríbase rápido, consulte la descripción completa desplazándose hacia abajo para conocer todos los requisitos de este puesto. This role is essential to ensuring strong financial management and the continuous optimization of processes within an international tech company in full expansion, with a presence in more than 17 countries. You will work closely with the CFO and collaborate with various internal teams, taking on a broad range of financial responsibilities while developing your career in a multicultural, dynamic, and constantly evolving environment. Responsabilidades Prepare and analyze the P&L, manage monthly closings, and deliver executive reporting, ensuring accuracy, consistency, and strategic visibility. Conduct variance analysis, identify risks and opportunities, and support the preparation and review of the budget and forecast. Maintain analytical accounting and cost allocation processes. Develop regular and ad‑hoc financial analyses, models, and scenarios to support decision‑making, acting as a finance business partner for different areas. Manage cash flow, treasury, payments, reconciliations, and intercompany, as well as CAPEX control, fixed assets, investment flows, and other financial KPIs. Ensure tax, regulatory and accounting compliance, coordinate external audits, and contribute to cross‑functional projects and process improvements. Drive continuous improvement through automation, optimization of internal tools, and the creation of dashboards and reports that enhance business performance visibility. Requisitos Bachelor's or Master's degree in Business Administration, Finance, Economics, Accounting, or a related field. 3–5 years of experience in controlling, finance, audit, or similar roles. Experience working with CRM and ERP systems, integrating financial and operational data for reporting and analysis. Background in international environments, corporate groups, subsidiaries, or multi‑stakeholder contexts. Strong knowledge of accounting, financial analysis, and reporting. Advanced Excel skills and ability to build data models. Professional English; French is a plus. Analytical, autonomous, rigorous, and hands‑on profile. Nuestra oferta Permanent contract with a competitive fixed annual salary. Flexible work model. Flexible Compensation Plan. Accelerated career development in a high‑growth environment. Access to training resources and free language classes. The opportunity to work with a diverse and international team. Crear una alerta de empleo para esta búsqueda #J-18808-Ljbffr