2.352 Ofertas de Controllers en España

Finance Manager

Madrid, Madrid Romualda

Publicado hace 5 días

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Descripción Del Trabajo

Sobre Romualda:

Romualda es una marca española de moda fundada en 2020, con un enfoque diferencial

basado en la fusión de arte y diseño. Comenzó con piezas únicas de sombreros pintados a

mano y colecciones de prêt-à-porter y accesorios.


La empresa, además de contar con un reconocimiento nacional ya notable ha tenido presencia internacional desde su inicio y hoy cuenta con una comunidad de más de casi 100k seguidores en

Instagram.


Romualda se encuentra en una etapa de expansión acelerada, con planes de abrir nuevas

tiendas en Madrid y Barcelona, en los próximos dos años, reforzar el equipo y aumentar su expansión en mercados internacionales.


Resumen del Puesto

Romualda se encuentra en una etapa de expansión acelerada y busca incorporar un Manager

que aporte rigor financiero y capacidad analítica en una etapa de fuerte crecimiento. Su

misión será dotar a la compañía de herramientas de control y reporting, asegurar la

rentabilidad sostenible y dar soporte en la toma de decisiones estratégicas en un contexto de

expansión nacional e internacional.


Este puesto reportará directamente al COO y trabajará estrechamente con el equipo fundador, marketing, ventas y diseño.


Responsabilidades Clave:

Análisis de rentabilidad por producto y canal: cálculo de márgenes brutos y netos por

categoría (sombreros, prêt-à-porter, accesorios) y por canal de ventas (online, tiendas

propias, wholesale).

Seguimiento de márgenes: control periódico de evolución de márgenes brutos,

identificación de desviaciones y propuesta de medidas correctivas.

Pricing y estrategia comercial: aportar datos y análisis para la definición de precios y

descuentos, alineando márgenes con objetivos de rentabilidad.

Contabilidad analítica: diseño e implementación de sistemas que permitan evaluar

contribución al beneficio por línea de producto y mercado geográfico.

Planificación y presupuestos: elaboración y seguimiento de presupuestos anuales,

forecast trimestrales y planes financieros a medio plazo.• Reporting avanzado: preparación de informes financieros (P&L, balance, cash flow)

con desglose por canal/producto, destinados tanto a dirección como a inversores.

Control de costes y eficiencia operativa: análisis de costes fijos y variables, control de

logística y marketing, medición del retorno de inversión en campañas y eventos.

Soporte a expansión y retail: modelización financiera de nuevas tiendas y

evaluaciones de rentabilidad de cada apertura.

Tesorería y capital circulante: supervisión de flujos de caja, cobros y pagos,

asegurando la liquidez del negocio.

Compliance: coordinación con asesores fiscales y contables para garantizar

cumplimiento legal y normativo en España e internacionalmente.


Requisitos del Perfil

Formación en ADE, Economía, Finanzas o similar; se valorará máster en Finanzas o

MBA.

• 3+ años de experiencia en control de gestión, auditoría o finanzas corporativas.

• Experiencia en retail, moda o consumo.

• Conocimiento avanzado en contabilidad de costes, pricing y rentabilidad.

• Manejo avanzado de Excel y herramientas de ERP/BI para análisis de datos.

• Nivel alto de inglés.


Competencias Clave

• Capacidad analítica rigurosa y orientación a la rentabilidad.

• Mentalidad de negocio con visión global (producto, pricing, canal, cliente).

• Habilidades para transformar datos en recomendaciones prácticas.

• Capacidad de interlocución con fundadores, equipos creativos y comerciales.

  • • Proactividad y adaptabilidad en entornos de expansión y cambio.
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Finance Manager

Madrid, Madrid S&you España

Publicado hace 6 días

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Descripción Del Trabajo

Desde S&you estamos colaborando con una importante empresa de logística en la búsqueda de un/a Finance Manager para su central (Madrid Norte).


Responsabilidades principales

  • Supervisión de la contabilidad diaria y elaboración de estados financieros (balances, resultados, flujos de caja).
  • Coordinación de impuestos y cumplimiento fiscal.
  • Gestión de cuentas a pagar y cobrar, conciliaciones y tesorería.
  • Coordinación de cierres contables mensuales y anuales, y relación con auditorías externas.
  • Preparación de reportes financieros a accionistas en inglés.
  • Liderazgo y desarrollo de un equipo de personal administrativo (4-5 personas).


Requisitos

  • Formación en Contabilidad, Finanzas o similar.
  • Experiencia previa en funciones de contabilidad e impuestos.
  • Inglés a nivel B2 (principalmente para reportes financieros).
  • Valorable: conocimientos de ERP (Navision) y experiencia en entornos de Big Four.
  • Excel avanzado y sólida base en normativa contable y fiscal española.


Condiciones

  • Ubicación: Central en zona Norte de Madrid.
  • Retribución: 40.000 – 42.000 € brutos anuales.
  • Contratación estable y proyecto con proyección.
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Finance Manager

Balearic Islands, Balearic Islands Jumeirah

Publicado hace 6 días

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Descripción Del Trabajo

About Jumeirah & the Hotel:


Jumeirah, a global leader in luxury hospitality and a member of Dubai Holding, operates an exceptional portfolio of 31 properties across the Middle East, Africa, Europe and Asia. In 1999, Jumeirah changed the face of luxury hospitality with the opening of the iconic Jumeirah Burj Al Arab and the brand is now renowned worldwide for its distinguished beachfront resorts, esteemed city hotels and luxury residences. From the contemporary Maldivian island paradise at Jumeirah Olhahali Island to the art-inspired Jumeirah Capri Palace in Italy and the modern twist on a British classic at Jumeirah Carlton Tower in London, the brand has become synonymous with warm and generous service and the ability to craft distinctive and purposeful experiences that bring joy to guests from across the world.

Jumeirah Mallorca is located on a cliff and surrounded by pine forests looking over the fishing town of Port Soller. Its 121 spacious guestrooms and suites, all with private terrace or balcony, enjoy stunning views of the port, the Mediterranean Sea and the impressive Tramuntana mountain range; a UNESCO Heritage site. The hotel offers two restaurants, four bars, two swimming pools and a Talise Spa. The hotel is divided into eleven low-rise structures ensuring that visitors experience a truly exceptional and natural environment.


About the Job:


An opportunity has arisen for a Finance Manager position to join Jumeirah Mallorca. The main duties and responsibilities of this role are:


  • Oversee cash flow, cash forecasting, and fixed deposit placements to ensure optimal liquidity and return on funds.
  • Manage banking relationships, credit card arrangements, and payment processes in line with corporate finance policies.
  • Ensure compliance with financial directives, loan covenants, tax regulations, and insurance requirements through regular monitoring and reporting.
  • Coordinate treasury activities including cash positions, loans, and financial instruments, and report to senior management and relevant stakeholders.
  • Handle annual insurance renewals, claims, and broker communications to secure adequate coverage and mitigate risks.
  • Collaborate with corporate finance on budgeting, financial planning, and group-level projects to support strategic business objectives.



About you:


The ideal candidate for this position will have the following experience and qualifications:


  • Bachelor’s degree in Finance, Accounting, or related field.
  • Minimum of 5 years’ experience in hotel finance, with at least 2 years in a leadership or managerial role.
  • Strong understanding of hotel financial operations, including budgeting, forecasting, cash flow management, and financial reporting.
  • Proven experience in managing banking relationships, treasury operations, and insurance policies. Solid knowledge of local tax regulations, VAT compliance, and financial audit processes.
  • Fluency in English is required.



About the Benefits:


Besides generous F&B benefits and reduced hotel rates across our hotels globally, this role has excellent employee benefits making the role attractive to high performers and any applicant who like to associate her/himself with one of the most luxurious brand in the hospitality industry. This includes:


  • Join a growing luxury hospitality company with exciting opportunities for training, development, and career advancement.
  • Work in a unique environment in the heart of Mallorca, surrounded by beauty, luxury, and a energetic multicultural team.
  • Benefit from complimentary cleaning of employee uniforms and work attire.
Lo sentimos, este trabajo no está disponible en su región

Finance Manager

Madrid, Madrid Zegona Communications Plc

Publicado hace 18 días

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Descripción Del Trabajo

We’re seeking a detail-oriented finance expert to lead reporting, forecasting, consolidation, and debt/hedging accounting across our UK entities. You’ll ensure financial accuracy, regulatory compliance, and provide strategic insights to senior leadership. The ideal candidate will bring proven experience in the UK market , with a deep understanding of local regulatory frameworks and IFRS standards.


Key Responsibilities

  • Financial Reporting : Deliver timely P&L, balance sheet, and cash flow reports; ensure compliance with UK regulations (HMRC, Companies House).
  • Consolidation : Manage multi-entity consolidation and intercompany reconciliations.
  • Debt & Hedging : Oversee debt portfolio, interest tracking, covenant compliance, and hedging accounting.
  • Budgeting & Forecasting : Lead budgeting cycles, produce forecasts, and variance analysis aligned with business goals.
  • Analysis & Collaboration : Present financial insights; support planning across departments; guide UK accounting teams.
  • Compliance & Audit : Ensure IFRS compliance; prepare for external audits.


Skills & Requirements

  • Mandatory: Demonstrated experience in the UK market, including familiarity with HMRC and Companies House requirements
  • Qualified accountant (ACA, ACCA, CIMA), ideally Big 6 experience.
  • Strong IFRS and UK reporting knowledge.
  • Proven experience in consolidation, debt, and hedging in multi-entity environments.
  • Advanced Excel skills.
  • English speaker and UK work experience.


Beneficial but not essential

  • SAP or Hyperion experience.
  • Telecom industry knowledge.
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Finance Manager

Catalonia, Catalonia Hays

Publicado hace 18 días

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Descripción Del Trabajo

Tu nueva empresa


Importante empresa sector tecnológico precisa incorporar un finance manager para sus oficinas ubicadas en Barcelona.


Tu nuevo puesto


Liderar la estrategia financiera global, alineada con los objetivos de negocio.

Gestionar el equipo contable interno, asegurando el cumplimiento fiscal y contable.

Diseñar e implementar procesos de planificación financiera, presupuestación y análisis de escenarios.

Supervisar el forecasting y el seguimiento de KPIs para impulsar decisiones basadas en datos.

Controlar el cash flow y liderar el reporting financiero mensual y anual.

Coordinar auditorías externas y gestionar relaciones con inversores y entidades financieras.

Analizar el rendimiento económico de las distintas líneas de negocio, proponiendo acciones estratégicas.

Optimizar herramientas, procesos y sistemas de control financiero.

Supervisar la gestión de pagos a proveedores y cobros de clientes e inquilinos, garantizando un control riguroso del flujo de caja.


Qué necesitarás para encajar con el puesto


+5 años de experiencia en finanzas (auditoría preferiblemte BIG4, controlling o roles similares)

Perfil proactivo, analítico y estratégico,

Conocimientos en contabilidad y fiscalidad.

Nivel alto de inglés.



Qué obtendrás a cambio


Oportunidad de crecimiento en una empresa líder en su sector.

Equipo dinámico y orientado a resultador.

Oficinas en Barcelona centro.


Tu siguiente paso


Si estás interesado en esta oferta, haz click en "aplicar ahora" para enviar una copia actualizada de tu CV, o llámanos ahora.

Si esta oferta no se adapta a tu perfil pero estás buscando un nuevo puesto de trabajo, por favor contáctanos y lo comentamos. Te garantizamos la confidencialidad.

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Finance Manager

Madrid, Madrid €60000 - €90000 Y Wood

Hoy

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Descripción Del Trabajo

Job Description
Remarkable people, trusted by clients to design and advance the world.
Wood is recruiting for a
Finance Manager
to join its Power&Industrial OA business, global leader in the delivery of project, engineering, equipment and technical services to the energy and industrial markets. With more than a century of designing, fabricating, erecting and starting our own equipment, we have the experience and capability to assess boilers and furnaces, recommend improvements, and predict the impact on performance, reliability and operation. This opportunity provides a Hybrid work attachment at Madrid offices

The Role
The role has dual reporting responsibilities to the relevant finance leader in the business / country / region, and the relevant operational leader. Business partnering is a key element of the role in providing finance and decision-making support through building relationships and promoting close links with operational leadership. The business partner element to the role is to provide analysis, insight and views in respect of the financial performance of the business, be a trusted advisor and to add value that will assist in decision making.

Our Clients and Projects
Designing the future. Transforming the world.
Wood is a Global leader in the delivery of project, engineering, equipment and technical services to the energy and industrial markets. We deliver solutions for our clients by applying our detailed knowledge of the energy, utility and process industries and our design, engineering and construction expertise to deliver products, technologies and services that help our clients solve their environmental challenges.

What We Can Offer

  • Meaningful and interesting projects in a full range of steam generator equipment, clean air technologies, aftermarket products and services to the power, industrial, and waste-to-energy sectors.
  • Flexible working arrangements that balance client, team and individual needs. This opportunity provides a Hybrid work attachment at Madrid offices.
  • Commitment to Diversity and Inclusion across our business with employee networks committed to giving all employees a voice
  • Competitive salary with regular salary reviews to ensure we are rewarding at the right level in line with the market.
  • Flexible benefits package that can be adapted to suit your lifestyle. Free shuttle bus from train station to the office, company canteen, biannual free medical check-up, free company parking.
  • Commitment to continued professional development through development plans tailored to individual needs and interests
  • Global connections with leading industry experts around the world who are shaping the standards of our profession

Responsibilities

  • Full responsibility for all financial matters including accurate and timely completion of monthly reporting, optimising financial performance
  • Report business / country / region financial performance to senior management including variance analysis, accounts receiveables, DSO, acrruals and unbilled analysis
  • Ownership for annual budget, forecasts and rolling forecasts in conjunction with senior management, including validation / challenge over backlog, inputs from BD and operations
  • Ensure forecasting accuracy and predictability through the rolling forecast v monthly actual result process
  • Ownership of monthly customer billing to ensure invoices are prepared in accordance with the commercial terms of the contract
  • Responsible for driving sustainable working capital improvements and/or maintaining performance working with operational management, project managers, supply chain and other relevant areas to optimise cash collection and minimise DSO, including customer relationships and reporting
  • Management of business / country / service line finance team including recruitment, staff development, performance management and the setting of objectives
  • Ownership of implementation and financial adherence with the finance operating model
  • Assisting during client audits and dispute management
  • Engagement with commercial teams on the pre award phase in terms of bids, rates, and relevant analysis and a key contact and team participant for such, including input to financial terms contained in contracts and bids where appropriate
  • Engagement with commercial teams on post contract award phase in terms of margin analysis looking for opportunities to drive improvements and commercial efficiencies, and attending key project reviews to ensure that reported financials are appropriate
  • Engagement with external and internal auditors to successfully complete relevant audits
  • Ensure that an effective control environment exists through compliance with all Group control frameworks, policies and procedures as relevant
  • Responsibility for relevant project accounting, including monthly reviews, analysis and project set up, accounting judgements and provisioning while working with relevant functions such as Commercial, Legal and Tax
  • Work with Operations and serve as a conduit between the business and Legal, Tax and Treasury, IT, Shared Services and Supply Chain

Qualifications
At Wood, we are committed to equal opportunities and welcome all talented individuals to consider joining our team. So even if you don't match every statement below but feel you have some of the experience, knowledge or skills needed for this role, we encourage you to apply. It will take all of us working together to deliver solutions to the world's most critical challenges.

Expected

  • Qualified accountant or working towards a qualification
  • Team management and relevant performance management
  • Decision making role for relevant business with level of DOA
  • Significant influencing role as manager of large team
  • Influencer as part of relevant finance and business leadership teams
  • Minimum of 5 years relevant accounting / commercial experience
  • Commercial experience with good understanding of cost models
  • Previous experience of managing and developing teams
  • Track record in people management
  • Good IT / Systems knowledge
  • Experience of business partnering
  • Excellent command of Spanish and English languages
  • Holding a valid permit to live and work in Spain is required

About Us
Wood is a global leader in consulting and engineering, helping to unlock solutions to critical challenges in energy and materials markets. We provide consulting, projects and operations solutions in 60 countries, employing around 35,000 people.

Diversity Statement
We are an equal opportunity employer that recognises the value of a diverse workforce. All suitably qualified applicants will receive consideration for employment on the basis of objective criteria and without regard to the following (which is a non-exhaustive list): race, colour, age, religion, gender, national origin, disability, sexual orientation, gender identity, protected veteran status, or other characteristics in accordance with the relevant governing laws.

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Finance Manager

Baleares, Balearic Islands €40000 - €80000 Y Jumeirah Group

Hoy

Trabajo visto

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Descripción Del Trabajo

About Jumeirah & the Hotel:

Jumeirah, a global leader in luxury hospitality and a member of Dubai Holding, operates an exceptional portfolio of 31 properties across the Middle East, Africa, Europe and Asia. In 1999, Jumeirah changed the face of luxury hospitality with the opening of the iconic Jumeirah Burj Al Arab and the brand is now renowned worldwide for its distinguished beachfront resorts, esteemed city hotels and luxury residences. From the contemporary Maldivian island paradise at Jumeirah Olhahali Island to the art-inspired Jumeirah Capri Palace in Italy and the modern twist on a British classic at Jumeirah Carlton Tower in London, the brand has become synonymous with warm and generous service and the ability to craft distinctive and purposeful experiences that bring joy to guests from across the world.

Jumeirah Mallorca is located on a cliff and surrounded by pine forests looking over the fishing town of Port Soller. Its 121 spacious guestrooms and suites, all with private terrace or balcony, enjoy stunning views of the port, the Mediterranean Sea and the impressive Tramuntana mountain range; a UNESCO Heritage site. The hotel offers two restaurants, four bars, two swimming pools and a Talise Spa. The hotel is divided into eleven low-rise structures ensuring that visitors experience a truly exceptional and natural environment.

About the Job:

An opportunity has arisen for a Finance Manager position to join Jumeirah Mallorca. The main duties and responsibilities of this role are:

  • Oversee cash flow, cash forecasting, and fixed deposit placements to ensure optimal liquidity and return on funds.
  • Manage banking relationships, credit card arrangements, and payment processes in line with corporate finance policies.
  • Ensure compliance with financial directives, loan covenants, tax regulations, and insurance requirements through regular monitoring and reporting.
  • Coordinate treasury activities including cash positions, loans, and financial instruments, and report to senior management and relevant stakeholders.
  • Handle annual insurance renewals, claims, and broker communications to secure adequate coverage and mitigate risks.
  • Collaborate with corporate finance on budgeting, financial planning, and group-level projects to support strategic business objectives.

About the Benefits:

Besides generous F&B benefits and reduced hotel rates across our hotels globally, this role has excellent employee benefits making the role attractive to high performers and any applicant who like to associate her/himself with one of the most luxurious brand in the hospitality industry. This includes:

  • Join a growing luxury hospitality company with exciting opportunities for training, development, and career advancement.
  • Work in a unique environment in the heart of Mallorca, surrounded by beauty, luxury, and a energetic multicultural team.
  • Benefit from complimentary cleaning of employee uniforms and work attire.

About the Benefits:

Besides generous F&B benefits and reduced hotel rates across our hotels globally, this role has excellent employee benefits making the role attractive to high performers and any applicant who like to associate her/himself with one of the most luxurious brand in the hospitality industry. This includes:

Join a growing luxury hospitality company with exciting opportunities for training, development, and career advancement.

Work in a unique environment in the heart of Mallorca, surrounded by beauty, luxury, and a energetic multicultural team.

Benefit from complimentary cleaning of employee uniforms and work attire.

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Finance Manager

COJOBAR, Castile and Leon €60000 - €80000 Y Nutreco

Hoy

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Descripción Del Trabajo

Job Description

Join Our Purpose - Feeding the Future

Nutreco is a member of the SHV family, and we are committed to 'Feeding the Future' through sustainable and innovative practices. Nutreco has two business lines: Skretting is a leading global provider of innovative aquafeed solutions, revolutionizing aquaculture for a sustainable future. Trouw Nutrition specializes in animal nutrition and is committed to advancing livestock health and productivity through cutting-edge solutions.

We are looking for an energetic Finance Manager to lead the Finance function of Skretting Spain, based in Burgos. This role is responsible for the full scope of finance operations, including accounting, controlling, planning and tax. You will lead a team of 5 professionals and act as a strategic business partner to the local management team, contributing to the realization of the business strategy.

You will ensure the formulation and implementation of the financial strategy of the Operating Company (OpCo), in line with the divisional strategy and Nutreco's corporate guidelines. This role also plays a key part in validating new business models, business cases, and customer profitability.

About The Role

Responsibilities:

  • Strategic Leadership

  • Define and implement the financial strategy of the Operating Company (OpCo), aligned with BU and corporate objectives.

  • Act as a trusted advisor to the local management team, supporting strategic decision-making with financial insights.

  • Team Leadership & Development

  • Lead, develop, and empower the Finance Team to meet current and future business needs.

  • Foster a culture of business partnering, continuous improvement, and accountability.

  • Financial Planning & Control

  • Oversee Strategic Planning, Budgeting, Forecasting, and financial reporting processes, ensuring accuracy, timeliness, and compliance with corporate guidelines.

  • Monitor financial performance and proactively advise management on key financial matters.

  • Drive cost control initiatives and ensure efficient use of resources within the Finance function.

  • Risk & Tax Management

  • Lead local risk management activities and ensure compliance with internal controls.

  • Manage local tax matters in accordance with corporate tax policies and local legislation.

  • Ensure a robust administrative organization and internal control framework.

  • Business Partnering

  • Support the validation of business cases, pricing models, and customer profitability analysis.

  • Collaborate cross-functionally to identify opportunities for growth, efficiency, and value creation.

Skills and Expertise

  • Strong business acumen and a proactive, solution-oriented mindset.

  • Ability to translate financial data into actionable business insights

  • Excellent communication and stakeholder management skills.

  • Fluent in Spanish and English, both written and spoken.

  • Solid understanding of local tax regulations

Qualifications:

  • Bachelor's degree in Finance, Accounting, Business Administration, or a related field. Masters Degree is a plus.

  • Minimum 8 years of proven experience in business controlling, or a similar role, ideally within a manufacturing or plant environment.

  • Proven experience in managing teams and developing talent.

WhyYou Will Love Working withUs

Global Benefits:

  • A full-time position in an international, dynamic environment.

  • Competitive remuneration package and benefits.

  • Opportunities for professional growth within Nutreco and the broader SHV group.

Next Steps

We value a seamless candidate experience and would like to respond within 10 business days. The hiring process typically takes 4-6 weeks.We appreciate your interest in joining our mission to innovate and sustainably shape the future of food production.

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Finance Manager

Madrid, Madrid €60000 - €90000 Y STS certified

Hoy

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Descripción Del Trabajo

Finance Manager : Madrid, Spain

We are seeking a dynamic and growth oriented finance and accounting expert with executive experience to work within our global finance team. The ideal candidate will ensure efficient finance and accounting operations, accurate consolidation of financial statements, drive compliance, and spearhead financial planning and risk management. This role requires a strategic thinker with strong leadership skills to foster collaboration across corporate and regional finance units, aligning financial goals with our company's strategic objectives.

You will join STS, a key player in the global renewable energy sector. With operations spanning sixteen countries across North America, Europe, and Asia, our teams comprise individuals, much like yourself, who are passionate about renewable energies, technology, quality, and sustainability.

Position Overview

As our Finance Manager you will be supporting our VP of Finance with the organisation's financial strategy, ensuring accuracy in financial reporting, optimising working capital, and enhancing cost management. This role requires having sound financial acumen, supporting corporate goals through efficient capital management, and providing leadership to the finance teams across all corporate and regional finance functions.

Key Responsibilities

  • Manage global finance and accounting operations.

  • Ensure timely and accurate consolidation of financial statements across corporate and regional units.

  • Support with financial control processes to ensure accuracy, compliance, and consistency of financial data.

  • Adhere to financial accounting standards and regulatory requirements across all regions.

  • Support with planning and optimisation across multiple countries, ensuring compliance with international tax regulations.

  • Support with cash flow planning and forecasting to ensure sufficient liquidity for operations and strategic initiatives.

  • Optimise working capital through effective management of receivables, payables, and inventory.

  • Coordinate with treasury teams on cash management and short-term financing.

  • Support efforts to digitalise and automate financial processes, enhancing accuracy, speed, and transparency in reporting.

  • Mentor and lead finance teams across regions (APAC, India, and Western countries), setting KPIs and performance standards.

  • Foster collaboration and knowledge sharing to align financial processes and best practices across regions.

  • Align financial strategies with corporate goals and support investment and innovation initiatives.

  • Develop and implement risk management strategies to minimize exposure related to currency fluctuations, interest rates, and financial risks.

  • Ensure robust controls for financial risk management and insurance.

Qualifications and Experience

  • Bachelor's degree in Finance, Accounting, or related field (MBA or CPA preferred).

  • Proven experience as a Finance Manager or similar senior finance leadership role.

  • Must have previous working experience within a multinational organisation.

  • In-depth knowledge of corporate finance, tax planning, and financial risk management.

  • Strong understanding of regulatory and compliance requirements across regions.

  • Proficient in financial systems, ERP, and process automation tools.

  • Excellent leadership, communication, and strategic thinking skills.

  • Experience in leading and mentoring finance teams across diverse geographies and cultures.

Terms and Conditions

  • Location: Madrid, Spain

  • Contract type: Permanent, Full Time

  • Working Arrangement: Flexible, starting remote, then moving to Hybrid role.

  • Department: Finance

  • Capability: International

  • Position Reports to: VP Finance

  • Industry: Renewables, Solar and Wind

STS – At the Forefront of the Global Renewable Energy Industry

At STS, we serve as technical advisors, auditors, and inspectors, empowering our clients - including major renewable energy project developers, owners, operators, and IPPs - to make sustainable decisions for every aspect of their projects. While we have been the pioneers and we remain leaders for inspection of solar modules globally, we have expanded our activities much beyond inspection to create an exceptional value to our clients.

Global, Diverse and Inclusive

As a global employer, we offer a diverse and inclusive environment. We have proven that diversity drives innovation and fosters a diverse, inclusive, and supportive workplace. This is one of our core values that makes us truly special and a top choice for all who seek an employer that values and supports diversity and talent.

Join Us

Your journey to make a real impact starts here. Send us your CV. We cannot wait to meet you and learn how you can shape the future with us.

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Finance Manager

Barcelona, Catalonia €60000 - €80000 Y Badi

Hoy

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Descripción Del Trabajo

Sobre Badi

Badi es una compañía proptech que está transformando el acceso a la vivienda en las grandes ciudades. Operamos dos líneas de negocio:

  • Badi Marketplace
    : una plataforma tecnológica con millones de usuarios activos centrada en el alquiler de habitaciones y apartamentos.

  • Badi Plus
    : nuestra propia operadora residencial, gestionando cientos de activos en ciudades como Barcelona, Madrid y Valencia.

Actualmente somos una empresa rentable, con una estructura sólida y una visión clara de crecimiento sostenible. En este contexto, buscamos un/a Finance Manager que se quiera seguir desarrollando en el liderazgo del área financiera, formando una parte clave del desarrollo estratégico de la compañía.

Responsabilidades

  • Liderar el área financiera del negocio de Badi Plus.

  • Supervisar al equipo de contabilidad in-house y asegurar el cumplimiento contable y fiscal.

  • Desarrollar procesos de planificación financiera, presupuestos.

  • Forecasting y seguimiento de los KPIs.

  • Gestionar el cash flow, reporting financiero mensual y anual.

  • Coordinar auditorías externas y relaciones con inversores y entidades financieras.

  • Analizar el rendimiento económico de las distintas líneas de negocio y proponer acciones estratégicas.

  • Optimizar herramientas, procesos y sistemas de control financiero.

  • Supervisar la gestión de pagos a proveedores y cobros de clientes e inquilinos, asegurando un control riguroso del flujo de caja.

Requisitos

  • +4 años de experiencia en finanzas, controlling o auditoría.

  • Conocimientos sólidos de contabilidad y fiscalidad en España.

  • Dominio de Excel y herramientas de reporting financiero.

  • Nivel alto de inglés (mínimo B2).

  • Perfil analítico, autónomo, con capacidad de liderazgo y visión estratégica.

Perfil ideal

Buscamos a una persona con una combinación de experiencia técnica y operativa, que se sienta cómoda liderando el área financiera de forma autónoma:

  • Formación en ADE, Economía, Finanzas o similar.

  • Familiaridad con procesos de cierre contable, reporting, proyecciones financieras y gestión de tesorería.

  • Capacidad para trabajar con auditores, inversores y otras partes externas.

  • Experiencia en la automatización de tareas financieras mediante herramientas como Excel avanzado, Power Query, macros, etc.

  • Interés o experiencia en la aplicación de herramientas de IA o modelos predictivos para análisis financiero, reporting o mejora de procesos.

Qué ofrecemos

  • Rol estratégico con impacto directo en el negocio y alta autonomía.

  • Oportunidad de liderar el área financiera en una empresa rentable y en crecimiento.

  • Oportunidad de trabajar en la creación y gestión de vehículos de inversión inmobiliaria, participando activamente en la estructuración financiera de nuevos proyectos estratégicos.

  • Equipo dinámico, comprometido y orientado a resultados.

  • Oficinas céntricas en Barcelona, trabajo 100% presencial.

Lo sentimos, este trabajo no está disponible en su región

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