74 Ofertas de Controllers en Madrid

Finance Manager

Madrid, Madrid Zegona Communications Plc

Publicado hace 3 días

Trabajo visto

Toque nuevamente para cerrar

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.
Lo sentimos, este trabajo no está disponible en su región

Finance Manager

Madrid, Madrid Changan Europe

Publicado hace 3 días

Trabajo visto

Toque nuevamente para cerrar

Descripción Del Trabajo

Changan Automobile , one of China’s leading automotive manufacturers, is accelerating its global expansion and strengthening its presence in Europe. We are currently seeking a highly competent Finance Manager to join our newly established Spanish subsidiary.

This role will play a pivotal part in building and optimizing the company’s financial operations in Spain, ensuring compliance with both local and group financial standards, maintaining strong internal controls, and providing strategic financial insights. The Finance Manager will also act as a vital bridge between the Spanish subsidiary, European Division, and headquarters in China, ensuring financial transparency, efficiency, and alignment across all entities.


Responsibilities:

  • Establish internal financial management policies and procedures covering accounting, taxation, budgeting, funding, accounts receivables and payables, expense reimbursement, and internal control.
  • Oversee accounting operations including bookkeeping, financial statement preparation, and expense management.
  • Manage all tax-related matters, including declaration, refund, and application for tax incentives for VAT, corporate tax, and other applicable local taxes.
  • Oversee transfer pricing compliance and coordinate with external advisors as needed.
  • Manage financial planning and analysis, including annual budgeting, forecasting, funding management, and performance monitoring.
  • Maintain accurate and organized financial records, ensuring timely reporting and compliance with local and corporate requirements.
  • Support internal audits, external audits, and group consolidation processes.
  • Collaborate closely with the European Division and headquarters in China to ensure financial alignment and efficient communication.
  • Perform other finance-related tasks and projects as assigned.


What We're Looking For:

  • Bachelor’s degree or above in Finance, Accounting, or a related field.
  • Several years of proven experience in finance and accounting management.
  • Familiarity with Spanish GAAP, European and Spanish tax regulations, and relevant financial standards.
  • Experience working with accounting, tax, and regulatory agencies in Spain and/or the EU.
  • Knowledge of Chinese Accounting Standards and Chinese tax regulations is a strong plus.
  • Fluent in Spanish and English; proficiency in Chinese is a plus.
  • Proficiency in financial software (e.g., SAP, Oracle, or similar ERP systems) and Microsoft Office.
  • Strong analytical, reporting, and compliance capabilities.
  • Excellent communication and coordination abilities.
  • High sense of responsibility, integrity, and accuracy.
  • Ability to work effectively in a cross-cultural, fast-growing environment.
Lo sentimos, este trabajo no está disponible en su región

Finance Manager

Madrid, Madrid Velto Renewables

Publicado hace 12 días

Trabajo visto

Toque nuevamente para cerrar

Descripción Del Trabajo

Finance Manager role description


Velto Renewables is a renewable energy independent power producer with a long-term asset ownership strategy. Established in 2020 and backed by the global investment group La Caisse, Velto Renewables is committed to contributing to the decarbonization of the global economy and the European energy transition by investing in and developing an international and multi-technology portfolio of renewable energy projects. Velto currently owns more than 280 MW of operating and under construction solar PV and wind projects in Spain and France, manages a 25% investment in a 630 MW offshore wind farm in the United Kingdom, develops 1+GW of greenfield projects in Iberia, and is seeking to grow its portfolio by becoming a local player in the countries and regions where it invests.


The FM will manage and execute relevant financial tasks for Velto and will be part of the strategic business support to further develop Velto as a financially sound organization. The FC will conduct controlling analysis and support day-to-day financial activities, budgeting, investment analysis, as well as special projects such as project financing, tax res-structuring, financial and tax due diligence, M&A transactions, etc.


Responsibilities

  • Monthly closing review and analysis;
  • Accounting: monitor daily bookings, support audit, need to understand consolidation rules;
  • Internal financial and operating control: willingness to standardize procedures (implementation of ERP and other tools to optimize controlling standards);
  • Reporting: prepare and provide monthly, quarterly and year-end financials in an accurate and timely manner;
  • Tax: ability to discuss and deal with tax requirements;
  • Budgeting preparation, monthly reconciliation and deviation analysis;
  • Prepare SHL, UPL, distributions, and other intercompany financing instruments;
  • Cash Management: will prepare batches and oversee Treasury;
  • Cash Flow forecasting and analysis;
  • Support managing credit agreements and its covenants;
  • Debt service follow up. Prepare a quarterly/biannually update on debt schedule repayment including the interest calculation;
  • Monitor and support the financial, accounting and commercial activities of the external asset management team;
  • Support the development of financial and administration organizational policies.
  • Support the financial, tax, modelling, etc. M&A activities in due diligence processes;
  • Support special projects such as tax re-structuring, purchase price allocation, tender process etc;
  • Support the Asset Management team in the integration of new assets;
  • Invoicing: Prepare and keep the group’s invoicing up to date;
  • Functional management and focal help point for the rest of the team;
  • Overall and strategic vision of the controlling area


Competencies


  • Excellent command of accounting and controlling;
  • Experience in renewable energy assets;
  • Solid knowledge of accounting principles;
  • Good team player with excellent communication skills, both verbal and written;
  • Proven team leadership and guidance
  • Must be autonomous and pro-active: develop own workstreams and work across many different functions;
  • Strong aptitude to learn complex concepts (tax rules, energy policy, financial structures, corporate structures, etc.);
  • Good understanding of commercial and financial concepts ruling asset management for renewables assets, desirable experience with regulated assets;
  • Good level of comfort with data management: proficient at extracting and analysing large amounts of data and presenting information in an easy-to-understand way;
  • Ability to develop and implement report templates, analytical tools, and other financial tools and financial models;
  • Ability to read and deal with Financial Models;
  • Interest and willingness to work on a flexible environment;
  • High Level of Proficiency with MS Office suite of products (Excel in particular);


Education and experience


  • Bachelor’s and-or Master´s degree in relevant discipline (Business or Economics);
  • 7-10 years of professional experience;
  • Excellent command of written and spoken English and Spanish;
  • Experience working in financial departments in renewable energy;
  • Experience financing renewable energy projects;
  • Experience in financial RECORE asset management is preferable;
Lo sentimos, este trabajo no está disponible en su región

Finance Manager

Nueva
Madrid, Madrid Velto Renewables

Hoy

Trabajo visto

Toque nuevamente para cerrar

Descripción Del Trabajo

Finance Manager role description

Velto Renewables is a renewable energy independent power producer with a long-term asset ownership strategy. Established in 2020 and backed by the global investment group La Caisse, Velto Renewables is committed to contributing to the decarbonization of the global economy and the European energy transition by investing in and developing an international and multi-technology portfolio of renewable energy projects. Velto currently owns more than 280 MW of operating and under construction solar PV and wind projects in Spain and France, manages a 25% investment in a 630 MW offshore wind farm in the United Kingdom, develops 1+GW of greenfield projects in Iberia, and is seeking to grow its portfolio by becoming a local player in the countries and regions where it invests.

The FM will manage and execute relevant financial tasks for Velto and will be part of the strategic business support to further develop Velto as a financially sound organization. The FC will conduct controlling analysis and support day-to-day financial activities, budgeting, investment analysis, as well as special projects such as project financing, tax res-structuring, financial and tax due diligence, M&A transactions, etc.

Responsibilities

  • Monthly closing review and analysis;
  • Accounting: monitor daily bookings, support audit, need to understand consolidation rules;
  • Internal financial and operating control: willingness to standardize procedures (implementation of ERP and other tools to optimize controlling standards);
  • Reporting: prepare and provide monthly, quarterly and year-end financials in an accurate and timely manner;
  • Tax: ability to discuss and deal with tax requirements;
  • Budgeting preparation, monthly reconciliation and deviation analysis;
  • Prepare SHL, UPL, distributions, and other intercompany financing instruments;
  • Cash Management: will prepare batches and oversee Treasury;
  • Cash Flow forecasting and analysis;
  • Support managing credit agreements and its covenants;
  • Debt service follow up. Prepare a quarterly/biannually update on debt schedule repayment including the interest calculation;
  • Monitor and support the financial, accounting and commercial activities of the external asset management team;
  • Support the development of financial and administration organizational policies.
  • Support the financial, tax, modelling, etc. M&A activities in due diligence processes;
  • Support special projects such as tax re-structuring, purchase price allocation, tender process etc;
  • Support the Asset Management team in the integration of new assets;
  • Invoicing: Prepare and keep the group’s invoicing up to date;
  • Functional management and focal help point for the rest of the team;
  • Overall and strategic vision of the controlling area

Competencies

  • Excellent command of accounting and controlling;
  • Experience in renewable energy assets;
  • Solid knowledge of accounting principles;
  • Good team player with excellent communication skills, both verbal and written;
  • Proven team leadership and guidance
  • Must be autonomous and pro-active: develop own workstreams and work across many different functions;
  • Strong aptitude to learn complex concepts (tax rules, energy policy, financial structures, corporate structures, etc.);
  • Good understanding of commercial and financial concepts ruling asset management for renewables assets, desirable experience with regulated assets;
  • Good level of comfort with data management: proficient at extracting and analysing large amounts of data and presenting information in an easy-to-understand way;
  • Ability to develop and implement report templates, analytical tools, and other financial tools and financial models;
  • Ability to read and deal with Financial Models;
  • Interest and willingness to work on a flexible environment;
  • High Level of Proficiency with MS Office suite of products (Excel in particular);

Education and experience

  • Bachelor’s and-or Master´s degree in relevant discipline (Business or Economics);
  • 7-10 years of professional experience;
  • Excellent command of written and spoken English and Spanish;
  • Experience working in financial departments in renewable energy;
  • Experience financing renewable energy projects;
  • Experience in financial RECORE asset management is preferable;
Lo sentimos, este trabajo no está disponible en su región

Finance Manager

Nueva
Madrid, Madrid Changan Europe

Hoy

Trabajo visto

Toque nuevamente para cerrar

Descripción Del Trabajo

Changan Automobile , one of China’s leading automotive manufacturers, is accelerating its global expansion and strengthening its presence in Europe. We are currently seeking a highly competent Finance Manager to join our newly established Spanish subsidiary.

This role will play a pivotal part in building and optimizing the company’s financial operations in Spain, ensuring compliance with both local and group financial standards, maintaining strong internal controls, and providing strategic financial insights. The Finance Manager will also act as a vital bridge between the Spanish subsidiary, European Division, and headquarters in China, ensuring financial transparency, efficiency, and alignment across all entities.

Responsibilities:

  • Establish internal financial management policies and procedures covering accounting, taxation, budgeting, funding, accounts receivables and payables, expense reimbursement, and internal control.
  • Oversee accounting operations including bookkeeping, financial statement preparation, and expense management.
  • Manage all tax-related matters, including declaration, refund, and application for tax incentives for VAT, corporate tax, and other applicable local taxes.
  • Oversee transfer pricing compliance and coordinate with external advisors as needed.
  • Manage financial planning and analysis, including annual budgeting, forecasting, funding management, and performance monitoring.
  • Maintain accurate and organized financial records, ensuring timely reporting and compliance with local and corporate requirements.
  • Support internal audits, external audits, and group consolidation processes.
  • Collaborate closely with the European Division and headquarters in China to ensure financial alignment and efficient communication.
  • Perform other finance-related tasks and projects as assigned.

What We're Looking For:

  • Bachelor’s degree or above in Finance, Accounting, or a related field.
  • Several years of proven experience in finance and accounting management.
  • Familiarity with Spanish GAAP, European and Spanish tax regulations, and relevant financial standards.
  • Experience working with accounting, tax, and regulatory agencies in Spain and/or the EU.
  • Knowledge of Chinese Accounting Standards and Chinese tax regulations is a strong plus.
  • Fluent in Spanish and English; proficiency in Chinese is a plus.
  • Proficiency in financial software (e.g., SAP, Oracle, or similar ERP systems) and Microsoft Office.
  • Strong analytical, reporting, and compliance capabilities.
  • Excellent communication and coordination abilities.
  • High sense of responsibility, integrity, and accuracy.
  • Ability to work effectively in a cross-cultural, fast-growing environment.
Lo sentimos, este trabajo no está disponible en su región

Finance Manager

Nueva
Madrid, Madrid Zegona Communications Plc

Hoy

Trabajo visto

Toque nuevamente para cerrar

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.
Lo sentimos, este trabajo no está disponible en su región

Finance Manager

Madrid, Madrid CoinsPaid

Hoy

Trabajo visto

Toque nuevamente para cerrar

Descripción Del Trabajo

Overview

Te unes a la revolución del Delivery?

Cuyna es el Cohete que impulsa a marcas y restaurantes para llegar más lejos. Nacimos para revolucionar el food delivery. Operamos el negocio de delivery de nuestros restaurantes y marcas asociadas, manteniendo sus estándares y calidad, mientras aprovechamos nuestra excelencia en la operación y nuestra tecnología propia para garantizar la eficiencia.

Funciones y responsabilidades

Funciones y responsabilidades

  • Definir y ejecutar la estrategia financiera de la compañía en línea con los objetivos de negocio.
  • Ser el / la partner estratégico de la dirección, aportando insights financieros para la toma de decisiones.
  • Negociar y gestionar la financiación externa con bancos y fondos.
  • Liderar la relación y comunicación con inversores y socios estratégicos.
  • Supervisar presupuestos, previsiones y análisis de escenarios junto con el área de planificación financiera.
  • Velar porque los procesos financieros sean eficientes, sostenibles y escalables.
  • Desarrollar y coordinar al equipo financiero (FP&A, Controller y Contabilidad).
  • Asegurar el cumplimiento normativo, fiscal y contable, coordinando auditorías externas.
Requisitos
  • 6-10 años de experiencia en posiciones financieras, con experiencia liderando equipos.
  • Formación sólida en finanzas (ADE, Economía o similar;

    MBA o máster especializado es un plus).
  • Experiencia en negociación con bancos, fondos de inversión y stakeholders externos.
  • Conocimiento de reporting financiero, control de gestión y normativa contable / fiscal.
  • Perfil estratégico, con mentalidad analítica y gran capacidad de comunicación y liderazgo.
  • Inglés avanzado (mínimo C1).
  • Muy valorable experiencia en entornos start up o scale up, familiarizado con la gestión del runway financiero.
Qué ofrecemos?
  • Salario fijo en función de la experiencia (40-50k)
  • Seguro Médico subvencionado al 50%
  • Payflow para adelantos + Tarjeta de retribución flexible
Proyecto ambicioso y retos constantes

Formar parte de un equipo jóven, dinámico y con muchas ganas de marcar la diferencia.

Oficinas en el centro de Madrid (Glorieta de Quevedo)

24 días de vacaciones al año.

24 y 31 de Diciembre + Día de cumpleaños libre

Plan de carrera para crecer con Cuyna

Por último, pero no menos importante. Café gratis!

Nuestros valores

Nuestros valores.

Ave Fénix. Dedicamos tiempo a buscar la solución, no a lamentar el problema. Ante una dificultad, somos capaces de pasar a la acción rápidamente, y no mantenernos en el fango con quejas, excusas y reproches.

Corazón Analítico. Damos un paso atrás y miramos con perspectiva. Somos observadores, reflexivos, curiosos y constantemente nos cuestionamos lo establecido.

Don 't fail to plan. Ponemos el foco en lo que aporta valor. Somos autónomos, y capaces de organizarnos, pivotar y auto-guiarnos hacia el objetivo, en un contexto cambiante con muchas piezas en movimiento.

Todos deben ganar. En nuestro día a día, nunca perdemos de vista la satisfacción de nuestros clientes con cada pedido, el crecimiento de nuestros partners, el bienestar de nuestros vecinos, y la confianza de todas las personas que han apostado por Cuyna.

Cohete cohete. Nada nos para. Tenemos una ambición incansable por ir más allá y dar lo mejor de nosotros mismos. Vamos rápido, vamos fuerte, vamos lejos.

Si te sientes identificado / a. ¡ahora tu puedes ser parte de nuestro equipo!

Somos #TalentoEsfuerzoHumildad

Cuyna es actualmente la única empresa del sector restauración en España con la certificación Great Place to Work, obtenida en 2025 en base a la opinión de todos los trabajadores

#J-18808-Ljbffr
Lo sentimos, este trabajo no está disponible en su región
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Acerca de lo último Controllers Empleos en Madrid !

Finance Manager

Madrid, Madrid Changan Europe

Hoy

Trabajo visto

Toque nuevamente para cerrar

Descripción Del Trabajo

Changan Automobile , one of China’s leading automotive manufacturers, is accelerating its global expansion and strengthening its presence in Europe. We are currently seeking a highly competent Finance Manager to join our newly established Spanish subsidiary.

This role will play a pivotal part in building and optimizing the company’s financial operations in Spain, ensuring compliance with both local and group financial standards, maintaining strong internal controls, and providing strategic financial insights. The Finance Manager will also act as a vital bridge between the Spanish subsidiary, European Division, and headquarters in China, ensuring financial transparency, efficiency, and alignment across all entities.


Responsibilities:

  • Establish internal financial management policies and procedures covering accounting, taxation, budgeting, funding, accounts receivables and payables, expense reimbursement, and internal control.
  • Oversee accounting operations including bookkeeping, financial statement preparation, and expense management.
  • Manage all tax-related matters, including declaration, refund, and application for tax incentives for VAT, corporate tax, and other applicable local taxes.
  • Oversee
Lo sentimos, este trabajo no está disponible en su región

Finance Manager

Madrid, Madrid Zegona Communications Plc

Hoy

Trabajo visto

Toque nuevamente para cerrar

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 acrossdepartments;
    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.
Lo sentimos, este trabajo no está disponible en su región

General Finance Manager -

Madrid, Madrid Green Recruitment Company

Hoy

Trabajo visto

Toque nuevamente para cerrar

Descripción Del Trabajo

A fast growing and well backed independent power producer (IPP) that designs, builds, and operates renewable energy projects is seeking to appoint a Structured Finance Manager, with investments across renewable energy projects throughout Europe, the platform has close to 2GW of projects in its pipeline and recent efforts have been made to add significant Battery Energy Storage Systems capacity to the pipeline, aiming to enhance the green flexibility capabilities.

Position Overview:

As the Structured Finance Manager , you will play a key role in shaping the financial strategy of the company's renewable energy projects. Reporting directly to the Chief Financial Officer (CFO), you will be responsible for leading the structured finance function, sourcing and closing financing opportunities for the asset portfolio.

This position requires a seasoned finance professional with extensive experience in structured finance within the renewable energy sector.

Key Responsibilities:
  • Lead Financing Strategy: Design, implement, and continuously refine financing strategies for renewable energy and battery storage projects to maximize long-term value creation. Analyze and manage debt covenants and compliance reporting. Develop tailored financial models and debt structures aligned with business objectives and market conditions.

  • Capital Sourcing: Build and manage relationships with banks, institutional investors, funds, and strategic partners to secure competitive and flexible sources of capital. Structure and negotiate senior and junior debt instruments, including term loans, revolving credit facilities, mezzanine financing, and bonds

  • Transaction Leadership: Lead end-to-end execution of financing transactions, from structuring and negotiation through to financial close, ensuring efficient allocation of risk and capital.

  • Market Intelligence: Monitor European energy markets, regulatory developments, and investor sentiment to anticipate opportunities and design financing structures that capture emerging value pools

  • Team Leadership: Build and mentor a high-performing structured finance team, fostering a culture of creativity, accountability, and value-driven thinking.

  • Cross-Functional Collaboration: Partner with development, construction, asset management, and strategy teams to align financing solutions with business needs and long-term portfolio objectives. Oversee existing portfolio debt across multiple SPVs and jurisdictions. Proactively manage refinancing cycles to improve cost of capital and optimize capital structure. Maintain robust reporting, risk management, and covenant compliance mechanisms.

  • Value Optimisation: Identify opportunities to enhance project and portfolio economics through innovative structuring, refinancing, and strategic asset management.

Qualifications:
  • Proven track record (10+ years) in structured/project finance within renewable energy, infrastructure, or related sectors. Experience on BESS structured finance and portfolio finance are a strong plus)

  • Demonstrated experience designing and executing complex financing structures across multiple jurisdictions.

  • Strong network among European banks, funds, and institutional investors active in the renewable energy and storage sectors.

  • Deep understanding of project finance, capital markets, and risk allocation in energy projects.

  • Creative, entrepreneurial mindset with a focus on long-term value creation.

  • Strong negotiation, leadership, and communication skills.

  • Fluency in English required;

    additional Spanish, Portuguese and other European languages an advantage.

#J-18808-Ljbffr
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