135 Ofertas de Financial Reporting en España
Manager, Financial Reporting
Hoy
Trabajo visto
Descripción Del Trabajo
The selected candidate will be a member of Recurrent Energy's Finance team reporting to the regional Financial Controller. This role will be responsible for the accounting in Spain, Netherlands and New markets and relationship management, preparing and coordinating financial audits, reviewing the monthly closing reporting and review the accounting entries and taking care of all accounting related duties.
Principal Responsibilities / Key Results Areas
- Lead month-end closing process and ensure quality control over financial reporting of Spain, Netherlands and New markets entities.
- Annual statutory financial statement preparation together with external accounting firm (Poland, Sweden, Greece, Germany and France.
- Ensure financial reporting compliance with Group's policies and reporting standards (US GAAP, Local GAAP and International Financial Reporting Standards – IFRS).
- Coordination of the Accounting Spanish and Italian team (7 members).
- Coordination and communication on a regular basis with the external local finance teams of Poland, Sweden, Greece, Germany and France.
- Ad hoc analysis (transaction and acquisition, finance due diligence, financial model reviews, etc.)
- Assist with questions from Tax, Project Finance and the business.
- Finance and accounting
Reporting Relationships & Interactions
- Reports to Regional Financial Controller
- Works with various teams in the organization including AP, Accounting, FP&A, Project Finance, Legal, etc.
- Significant interaction with outside vested parties (advisors, bank officers, auditors, etc.)
Knowledge & Skills
- Team-leading experience.
- Renewables sector knowledge.
- US GAAP, Spanish GAAP and IFRS working knowledge required.
- Proficient with Microsoft Excel and Smartsheet.
- Working knowledge of ERP systems (SAP experience is a must and HFM experience is a plus)
Abilities
- Exceptional attention to detail and ability to analyze high volumes of data as well as demonstrating an ability to focus on higher level overview.
- Ability to deal effectively with a diversity of individuals at all organizational levels.
- Comfortable working in an unstructured, entrepreneurial environment; this is a transaction-based environment where requirements and deadlines are dictated by deal flow.
Experience & Education
- Bachelor's degree in accounting, Finance or related discipline
- Minimum of 5 year of relevant work experience
- Knowledge of renewable energy and project assets.
Other Comments
- Permanent
- Based in Madrid
- Fluent English and Spanish (Italian is a plus).
Financial Reporting Manager
Hoy
Trabajo visto
Descripción Del Trabajo
Nuestro cliente, importante empresa del sector industrial y de energías renovables, con fábricas y filiales a nivel nacional e internacional, busca incorporar a su área financiera la figura de un:
FINANCIAL REPORTING MANAGER MISIÓN DEL PUESTOReportando directamente al Director de Control de Gestión corporativo (y sin personas a su cargo), la persona seleccionada será responsable de desarrollar actividades relacionadas con el reporte de las diferentes filiales del grupo, así como de coordinar las auditorías externas.
FUNCIONES- Seguimiento de la correcta aplicación de las normas y procedimientos del Grupo en sus diferentes filiales.
- Establecimiento de un sistema de reporting fiable y pertinente, basado en las normas del Grupo, respetando las fechas y deadlines establecidos, con su planificación correspondiente.
- Participación en análisis y elaboración de estudios estadísticos puntuales.
- Seguimiento y optimización de las aplicaciones de gestión utilizadas como herramientas de trabajo.
- Establecimiento del mapa de riesgos financieros, contables y organizacionales del Grupo.
- Detección y descripción de nuevos riesgos (ambientales, éticos, de entorno) susceptibles de afectar a la empresa.
- Planificación, organización y supervisión de las auditorías y sus enfoques estratégicos, así como del trabajo de campo y su planificación.
- Coordinación con los auditores externos y, en su caso, con el Comité de Auditoría.
Buscamos a una persona con al menos 5 años de experiencia profesional como Controller Financiero en entornos multinacionales, con experiencia demostrable en labores de consolidación y reporting financiero.
Imprescindible poseer una:
- Sólida base financiera
- Experiencia en contabilidad financiera y analítica, control de gestión, reporting y consolidación de datos de filiales.
De pensamiento analítico y habituado al trabajo en equipo, la persona aportará conocimientos y experiencia en grandes entornos empresariales.
Buen nivel de inglés (C1), hablado y escrito, como herramienta habitual de trabajo.
Habituado a trabajar en entornos complejos y con buen manejo de herramientas informáticas de gestión (Excel, Access, etc.).
Imprescindible manejo de SAP.
PERSONALIDADPersona analítica, con capacidad de síntesis y comunicación. Carácter dinámico, enérgico y flexible.
Buen comunicador, proactivo, con capacidad resolutiva y capaz de trabajar bajo deadlines estrictos, siempre con rigor.
Capacidad relacional y dotes de liderazgo, que aporte iniciativa y pueda involucrarse en nuevos proyectos, comunicativa y negociadora.
SALARIO ESTIMADO SE OFRECEIncorporación a un grupo sólido y consolidado. Contrato indefinido con período de prueba. Actualmente, no hay opción de teletrabajo.
LUGAR DE TRABAJOMadrid, zona de Méndez Álvaro.
#J-18808-LjbffrFinancial Reporting Analyst
Hoy
Trabajo visto
Descripción Del Trabajo
Join to apply for the Financial Reporting Analyst role at BNP Paribas CIB .
BNP Paribas is a top-ranking bank in Europe with an international profile. It operates in 65 countries and has almost 190,000 employees. BNP Paribas organizes its businesses into three main fields of activity: Commercial, Personal Banking & Services (CPBS), Investment & Protection Services (IPS) and Corporate Institutional Banking (CIB). The Group helps all of its clients (retail, associations, businesses, SMEs, large corporate and institutional) to implement their projects by providing them with services in financing, investment, savings and protection.
Various bodies rank BNP Paribas highly as a Top Employer in Europe. It was named a Top Employer Europe for 2022, recognized for diversity, inclusion, career development possibilities and well-being.
About Business Line/FunctionThe Finance & Strategy function (F&S) ensures, for the BNP Paribas Group, the production and publication of accounting and financial management statements necessary for the management of the Group, financial and tax optimization along with the external growth strategy. It also plays an alert role vis-a-vis the General Management.
F&S counts over 1,800 employees specialized in Accounting, Reporting, Performance Steering, Tax, Control, Regulatory and Project, among others. F&S is organized around three mutualized regional platforms (Americas, Europe and Asia/Pacific), one Shared Finance Service center located in India, Central F&S teams located in Paris and decentralized Finance, Tax and Development departments located in each BNP Paribas country presence.
Infinity Finance HUBThe Infinity EMEA Finance & Strategy Platform is the regional mutualized platform and Group platform delivering services across the financial dimension: accounting production activities, reporting, control, transformation projects, IT and GDO. It serves EMEA countries and CFOs, Group Head Office and worldwide entities for projects (Transformations & IT). The Infinity EMEA Finance & Strategy Platform is located in Madrid and Lisbon.
About The JobPosition Purpose
- The team member will ensure the data quality of the reporting towards the elaboration of the Group Consolidated Financial Statements. They will act as a financial controller, analyzing and monitoring the information declared by BNP sites/regions.
- This implies collaboration on supporting the reporting sites/regions for the preparation of closings, implementing and monitoring transversal controls at global level, investigating complex transactions from a financial/reporting perspective, analyzing the data reported by the sites/regions through packages, and synthesizing the results of the controls and the performance through various deliverables.
- The team member will also be the Subject Matter Expert on a particular reporting topic (e.g., IFRS 9, IFRS 12, Consolidation Perimeter, KPI reports, Intercompany, etc.).
- You will be responsible for supporting the entities/regions in the preparation of the quarterly closings:
- Developing capacity of the team member to understand events/issues raised by the sites/regions that might impact reporting
- Advising the reporting sites/regions about correct presentation / accounting treatments of specific transactions
- Informing the sites/regions about news on Group norms, standards and reporting evolutions
- Ensure that open issues are properly followed up during inter-closings and support defining action plans
- Analysis of events with impact on the Group Consolidated Financial Statements:
- Discuss with the reporting sites/regions about particular transactions/operations with material impact
- Understand issues and implications for the Group Consolidated Financial Statements
- Identify events that may need adjustments at consolidated level (e.g., operations booked locally incorrectly, elimination of internal results, reclassifications for presentation)
- Summarize and synthesize key events to report to the Team Leader
- As a Subject Matter Expert (SME):
- Understand and develop a transversal topic related to Financial/Regulatory Reporting
- Be part of Group Finance; ensure processes align with Group expectations
- During the Closing:
- Collection and analysis of Financial and Regulatory Statements
- Ask for corrections when information through the packages is not accurate or wrongly reported
- Perform analytical reviews to understand material balances and variations
- Liaise with sites/regions to obtain economic background and details
- Coordinate between regions and Group/ Regulators/Auditors to comply with regulatory or ad-hoc requests
- As a SME:
- Respect deadlines and steps defined by the Group; implement controls and take necessary actions to achieve tasks
- Inform sites/regions about instructions, control results, and actions to be taken over reporting packages or tools/systems
- Post Closing:
- Production of Key Performance Indicators; summarize and quantify regional results, maintain issue logs, participate in follow-up meetings, and help define action plans on open issues
- Support production teams and provide assistance
- Summarize key issues encountered during the quarterly closing and report to the Team Leader and top management
- Participation in implementation of action plans arising from projects and continuous transformation of the function
- Contribute to global change management initiatives; be open to changes, diversity and new projects
- Support entities/regions through ongoing changes in standards, regulations and organization; provide development support to sites/regional platforms
- Maturity, professional standing, strong interpersonal communication and presentation skills
- Solutions-oriented with ability to generate creative ideas
- Ability to work under pressure and meet tight deadlines with complex requirements from Group, Regulators and Auditors
- Ability to work collaboratively across locations
- Strong planning and organizational skills
- Autonomy
- Understanding of system requirements and controls to ensure operational processes
- Ability to work with remote locations
- Diversity mindset
- In-depth knowledge of generally accepted accounting principles, IFRS, banking regulation, Group instructions and accounting rules
- Strong knowledge of IFRS9: classification and measurement of financial products, impairment
- Strong understanding of finance/accounting transactions
- Advanced knowledge of MS Office
- Excellent Excel skills (pivot tables, VLOOKUP, SUMIF)
- Adaptability and ability to learn new systems or processes quickly
- Master’s degree in Finance/Audit/Accounting or equivalent
- Minimum 2 years of experience in financial or regulatory reporting, audit, internal control, financial planning and analysis, or financial accounting, preferably in banking
- Advanced level in English; French is a plus
Behavioural Skills
- Communication skills - oral and written
- Decision making
- Adaptability
- Critical thinking
Transversal Skills
- Ability to anticipate business/strategic evolution
- Ability to develop and adapt a process
- Analytical ability
- Ability to manage/facilitate meetings, seminars, committees, or training
- Ability to understand, explain and support change
- Training programs
- Career plans and internal mobility opportunities, national and international due to our presence in different countries
- Diversity and Inclusion Committee supporting an inclusive work environment (PRIDE, We Generations, MixCity)
- Corporate volunteering program (1 Million Hours 2 Help)
- Flexible compensation plan
- Hybrid telecommuting model (50%)
- 32 vacation days
BNP Paribas Group in Spain is an equal opportunity employer and is committed to ensuring that no individual is discriminated against on the grounds of age, disability, gender reassignment, marriage or civil partnership status, pregnancy and maternity/paternity, race, religion or belief, sex or sexual orientation. Equity and diversity are at the core of our recruitment policy because we believe they foster creativity and efficiency, which in turn increase performance and productivity. We strive to reflect the society we live in while aligning with the image of our clients.
Seniority level- Entry level
- Full-time
- Accounting/Auditing and Finance
Financial Reporting Specialist
Hoy
Trabajo visto
Descripción Del Trabajo
Job Title
We are looking for a skilled and experienced professional to join our team as a Financial Reporting Specialist. The successful candidate will be responsible for managing financial reporting processes, analyzing data, and providing insights to support business decision-making.
Key Responsibilities- Consolidate and analyze financial reports for group management, ensuring accuracy and timeliness.
- Develop and maintain financial models and tools to support business needs.
- Collaborate with cross-functional teams to drive process improvements and efficiency gains.
- Provide expert advice on financial reporting best practices and regulatory requirements.
- Ensure compliance with local and international accounting standards.
- 5+ years of experience in financial reporting and analysis.
- Strong analytical and problem-solving skills.
- Excellent communication and interpersonal skills.
- Fluency in English and Spanish.
- Proficiency in SAP BPC and Excel.
- Flexible working hours.
- Permanent contract.
- Competitive salary package.
Financial Reporting Analyst
Publicado hace 2 días
Trabajo visto
Descripción Del Trabajo
Financial Reporting Analyst role at BNP Paribas CIB
GROUP BNP PARIBAS BNP Paribas is a top-ranking bank in Europe with an international profile. It operates in 65 countries and has almost 190,000 employees. BNP Paribas organizes its businesses into three main fields of activity: Commercial, Personal Banking & Services (CPBS), Investment & Protection Services (IPS) and Corporate Institutional Banking (CIB). The Group helps all of its clients (retail, associations, businesses, SMEs, large corporate and institutional) to implement their projects by providing them with services in financing, investment, savings and protection.
Various bodies rank BNP Paribas highly in terms of attractiveness and being a “good place to work”. The Group has been named a “Top Employer Europe” for 2022, in particular for its diversity, inclusion, career development possibilities and well-being.
Position PurposeThe Infinity EMEA Finance & Strategy Platform is the Regional EMEA Mutualized platform and Group platform delivering services that covers the whole financial dimension: Accounting production activities, reporting, control, transformation projects, IT and GDO. Our platform serves EMEA Countries and CFO´s, Group Head Office and also worldwide entities when it refers to projects (Transformations & IT).
The Infinity EMEA Finance & Strategy Platform is located in a dual location Madrid and Lisbon.
Responsibilities- The team member will ensure the data quality of the reporting towards the elaboration of the Group Consolidated Financial Statements. She/he will act as a financial controller analyzing and monitoring the information declared by the BNP sites/regions
- This implies his / her collaboration on supporting the reporting sites/regions for the preparation of the closings, implementing and monitoring transversal controls at global level, investigating complex transactions from financial / reporting perspective, analyzing the data reported by the sites/regions through packages, and synthetizing the results of the controls and the performance through various deliverables
- At the same time, the team member will be the Subject Matter Expert on a particular Reporting topic (i.e. IFRS 9, IFRS 12, Consolidation Perimeter, KPIs reports, Intercompany etc)
- Collection and analysis of the Financial and Regulatory Statements
- Ask for corrections when the information provided through the packages is not accurate or wrongly reported
- Perform an analytical review on the data reported in order to have a global view on the material balances and variations
- Liaise with the sites/regions to get the necessary economic background and details aiming to understand the material figures and key quarterly / annual variations
- Coordination between regions and Group / Regulators / Auditors to comply with regulatory or ad-hoc requests
- The transversal tasks within a particular role of SME have to respect the deadlines and steps defined by the Group
- You will be responsible of implementing the controls and / or taking the necessary actions to ensure the achievement of the task/s Independently of the role of entity coordinator, the SME is responsible of informing the reporting sites/regions about the instructions of the tasks, the results of the controls as well as the actions to be taken over the reporting packages or particular tools / systems
- Production of Key Performance Indicators, synthesis and debriefing: Participate on the elaboration of the KPIs that measure the performance of the reporting sites/regions. It implies to summarize and quantify the results from the work performed by the regions, provide an issue log, participate on follow-up meetings and collaborate on defining action plans on open issues
- Accompany and foster the performance of the production teams by providing assistance
- Synthetize the key issues encountered during the quarterly closing and report to the Team Leader as well as top management accordingly.
- Based on the projects and the continuous transformation of the function, the team member will participate on the implementation of the needed action plans / changes that the organization might require
- Key contributor for any global change management initiative: the team member must be open to changes, diversity and new projects as well as keen to resilience
- Due to the continuous changes in the standards, regulations and organization, there might be a need of development for the entities/regions that implies support to the sites / regional platforms.
- Maturity, professional standing, strong interpersonal communication skills and presentation skills
- Solutions-oriented thinker who is able to generate creative idea
- Ability to work under pressure, within tight deadlines and with complex requirements from Group, Regulators and Auditors
- Ability to work collaboratively with relevant teams across locations
- Strong planning and organizational skills
- Ability to be autonomous
- Understanding of system requirements and capabilities to ensure appropriate controls and operational processes
- Ability to work with remote locations
- Diversity player
- In-depth knowledge and understanding of generally accepted accounting principles, IFRS, banking regulation, Group instructions and accounting rules
- Strong knowledge on IFRS9 about classification and measurement of the financial products, impairment
- Strong understanding of transactions from finance / accounting perspective
- High knowledge on MS Office
- Excellent Excel skills (including pivot tables, VLOOKUP, SUMIF)
- Adaptability : ability to learn new systems or processes quickly
- Masters on Finance / Audit / Accounting in business school or equivalent
- Minimum 2 years of experience in at least one of the following business disciplines preferably within a banking company / audit firm: financial or regulatory reporting, audit (internal or external), internal control, financial planning and analysis, financial accounting
- Advanced level in English, French is a plus
- Behavioural Skill
- Communication skills - oral & written
- Decision Making
- Adaptability
- Critical thinking
- Transversal Skills
- Ability to anticipate business / strategic evolution
- Ability to develop and adapt a process
- Analytical Ability
- Ability to manage / facilitate a meeting, seminar, committee, training
- Ability to understand, explain and support change
- Training programs
- Career plans and internal mobility opportunities, national and international thanks to our presence in different countries
- Diversity and Inclusion Committee that ensures an inclusive work environment. In recent years, several employee communities have been created to organize diversity and inclusion awareness actions (PRIDE, We Generations and MixCity)
- Corporate volunteering program (1 Million Hours 2 Help) in which employees can dedicate time out of their working hours to volunteer activities
- Flexible compensation plan
- Hybrid telecommuting model (50%)
- 32 vacation days
BNP Paribas Group in Spain is an equal opportunity employer and proud to provide equal employment opportunity to all job seekers. We are actively committed to ensuring that no individual is discriminated against on the grounds of age, disability, gender reassignment, marriage or civil partnership status, pregnancy and maternity/paternity, race, religion or belief, sex or sexual orientation. Equity and diversity are at the core of our recruitment policy because we believe that they foster creativity and efficiency, which in turn increase performance and productivity. We strive to reflect the society we live in, while keeping with the image of our clients.
Seniority level- Entry level
- Full-time
- Accounting/Auditing and Finance
Financial Reporting Specialist
Hoy
Trabajo visto
Descripción Del Trabajo
The company you will be working for is a global leader in the interdealer broking industry. With a presence in over 28 countries and employing over 2,500 people, it offers unparalleled opportunities for career growth and development.
As a key member of the team, your primary responsibility will be to assist in the day-to-day activities of MiFID II Transaction and Transparency reporting for the company's entities. This includes assisting the team with reconciliations, uploading broker details onto relevant platforms, and conducting UAT testing for MiFID II reporting changes.
Key skills and qualifications required for this role include excellent communication skills, strong data consolidation and manipulation experience through Excel, and the ability to produce and interpret analysis. Knowledge of MiFID regulations is also essential.
This is an exciting opportunity to join a dynamic team and contribute to the company's continued success. If you have the skills and enthusiasm to excel in this role, please submit your application.
Due to the large volume of applications, only suitable candidates will be contacted. Please note that the company does not accept agency CVs and reserves the right to contact trusted agents when required.
The company is an equal opportunities employer who values diversity. All employment decisions are based on qualifications and merit.
By applying for this role, you agree that we may retain your details on our system for a period of 6 months and may contact you for any future vacancies that may arise within the company.
Financial Reporting Analyst
Hoy
Trabajo visto
Descripción Del Trabajo
Job Description
This is an exciting opportunity to work with our clients, generating and distributing daily, weekly, monthly, quarterly, annual, and ad-hoc reports. You will be responsible for coordinating data from various applications and teams to prepare accurate reports within specified deadlines.
In addition, you will identify opportunities to streamline back-office processes and improve operational efficiency through automation and optimisation. Your collaboration with internal stakeholders, including trading desks, compliance, and technology teams, will be crucial in addressing client needs and resolving operational issues.
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Required Skills and Qualifications
- Experience in report operations and report creation.
- Proficiency in Microsoft Excel, PowerPoint, Word, Adobe Acrobat, and Outlook.
A preferred skillset includes understanding of the asset management industry and performance calculations, experience with service management methodologies (such as ITIL), and familiarity with regulatory requirements in the financial services sector.
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Benefits
You will enjoy 23 days of Annual Leave plus discretionary days, numerous benefits including a Health Care Plan, teleworking compensation, Life and Accident Insurances, and more.
Our company also offers flexible retribution options, real Work Life Balance measures, UST Club Platform discounts, and gym Access discounts.
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Others
We value equal opportunities in our selection processes and do not discriminate based on race, gender, disability, age, religion, sexual orientation or nationality. We have a commitment to Disability & Inclusion and are interested in hiring people with disability certificates.
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Financial Reporting Specialist
Hoy
Trabajo visto
Descripción Del Trabajo
We are seeking a detail-oriented and organized Junior Regulatory Reporting Analyst to join our team. The ideal candidate will assist with MiFID II Transaction and Transparency reporting for our entities, ensuring accurate and timely submissions.
The role is based in Madrid and involves working closely with the team on UAT testing for MiFID II reporting changes, as well as uploading Broker details onto relevant platforms and external vendor platforms for management.
- Strong analytical skills and ability to work under pressure
- Excellent communication skills and experience with data consolidation and manipulation through Excel
- Knowledge of MiFID regulations and ability to produce and interpret analysis
Why Work With Us
We value diversity and are an equal opportunity employer. Our company culture emphasizes teamwork, creativity, reliability, and integrity, making us a great place to grow your career.
We are committed to providing our employees with opportunities for professional growth and development, and we encourage our team members to take ownership of their projects and contribute to our company's success.
Financial Reporting Manager
Hoy
Trabajo visto
Descripción Del Trabajo
Nuestro cliente, importante empresa del sector industrial y de energías renovables, con fábricas y filiales a nivel nacional e internacional, busca incorporar a su área financiera la figura de un:
FINANCIAL REPORTING MANAGER MISIÓN DEL PUESTOReportando directamente al Director de Control de Gestión corporativo (y sin personas a su cargo), la persona seleccionada será responsable de desarrollar actividades relacionadas con el reporte de las diferentes filiales del grupo, así como de coordinar las auditorías externas.
FUNCIONES- Seguimiento de la correcta aplicación de las normas y procedimientos del Grupo en sus diferentes filiales.
- Establecimiento de un sistema de reporting fiable y pertinente, basado en las normas del Grupo, respetando las fechas y deadlines establecidos, con su planificación correspondiente.
- Participación en análisis y elaboración de estudios estadísticos puntuales.
- Seguimiento y optimización de las aplicaciones de gestión utilizadas como herramientas de trabajo.
- Establecimiento del mapa de riesgos financieros, contables y organizacionales del Grupo.
- Detección y descripción de nuevos riesgos (ambientales, éticos, de entorno) susceptibles de afectar a la empresa.
- Planificación, organización y supervisión de las auditorías y sus enfoques estratégicos, así como del trabajo de campo y su planificación.
- Coordinación con los auditores externos y, en su caso, con el Comité de Auditoría.
Buscamos a una persona con al menos 5 años de experiencia profesional como Controller Financiero en entornos multinacionales, con experiencia demostrable en labores de consolidación y reporting financiero.
Imprescindible poseer una:
- Sólida base financiera
- Experiencia en contabilidad financiera y analítica, control de gestión, reporting y consolidación de datos de filiales.
De pensamiento analítico y habituado al trabajo en equipo, la persona aportará conocimientos y experiencia en grandes entornos empresariales.
Buen nivel de inglés (C1), hablado y escrito, como herramienta habitual de trabajo.
Habituado a trabajar en entornos complejos y con buen manejo de herramientas informáticas de gestión (Excel, Access, etc.).
Imprescindible manejo de SAP.
PERSONALIDADPersona analítica, con capacidad de síntesis y comunicación. Carácter dinámico, enérgico y flexible.
Buen comunicador, proactivo, con capacidad resolutiva y capaz de trabajar bajo deadlines estrictos, siempre con rigor.
Capacidad relacional y dotes de liderazgo, que aporte iniciativa y pueda involucrarse en nuevos proyectos, comunicativa y negociadora.
SALARIO ESTIMADO SE OFRECEIncorporación a un grupo sólido y consolidado. Contrato indefinido con período de prueba. Actualmente, no hay opción de teletrabajo.
LUGAR DE TRABAJOMadrid, zona de Méndez Álvaro.
#J-18808-LjbffrManager, Financial Reporting
Hoy
Trabajo visto
Descripción Del Trabajo
The selected candidate will be a member of Recurrent Energy's Finance team reporting to the regional Financial Controller. This role will be responsible for the accounting in Spain, Netherlands and New markets and relationship management, preparing and coordinating financial audits, reviewing the monthly closing reporting and review the accounting entries and taking care of all accounting related duties.
Principal Responsibilities / Key Results Areas
- Lead month-end closing process and ensure quality control over financial reporting of Spain, Netherlands and New markets entities.
- Annual statutory financial statement preparation together with external accounting firm (Poland, Sweden, Greece, Germany and France.
- Ensure financial reporting compliance with Group's policies and reporting standards (US GAAP, Local GAAP and International Financial Reporting Standards – IFRS).
- Coordination of the Accounting Spanish and Italian team (7 members).
- Coordination and communication on a regular basis with the external local finance teams of Poland, Sweden, Greece, Germany and France.
- Ad hoc analysis (transaction and acquisition, finance due diligence, financial model reviews, etc.)
- Assist with questions from Tax, Project Finance and the business.
- Finance and accounting
Reporting Relationships & Interactions
- Reports to Regional Financial Controller
- Works with various teams in the organization including AP, Accounting, FP&A, Project Finance, Legal, etc.
- Significant interaction with outside vested parties (advisors, bank officers, auditors, etc.)
Knowledge & Skills
- Team-leading experience.
- Renewables sector knowledge.
- US GAAP, Spanish GAAP and IFRS working knowledge required.
- Proficient with Microsoft Excel and Smartsheet.
- Working knowledge of ERP systems (SAP experience is a must and HFM experience is a plus)
Abilities
- Exceptional attention to detail and ability to analyze high volumes of data as well as demonstrating an ability to focus on higher level overview.
- Ability to deal effectively with a diversity of individuals at all organizational levels.
- Comfortable working in an unstructured, entrepreneurial environment; this is a transaction-based environment where requirements and deadlines are dictated by deal flow.
Experience & Education
- Bachelor's degree in accounting, Finance or related discipline
- Minimum of 5 year of relevant work experience
- Knowledge of renewable energy and project assets.
Other Comments
- Permanent
- Based in Madrid
- Fluent English and Spanish (Italian is a plus).