¿Dónde vas a trabajar?
Growing multinational company in construction sector.
¿Qué harás en tu nuevo puesto?
- Timely and correct accounting according to local legislation and standards (HB I) as well as the organization standards (HBII), incl. month-end and year-end process.
- Controlling: reporting, planning, forecasting, deviation and scenario analysis (i.E. challenging the business and developing answers) together with MD.
- Credit Management / Accounts Receivables as defined in global and local Credit Policies.
- Taxation: sufficient focus on local taxation and tax management;
additionally tax optimisation within group framework and supported by group-wide tax management.
- Operational finance, accompanying the whole OTC process, i.E. ensuring a well-functioning interface between operations and finance, e.G. contract clarity, invoicing procedures, IT system interfaces (sales, operations, accounting) etc.
- Treasury and liquidity management within group framework (i.E. central financing and FX management)
- Accounts Payables
- IT, HR: responsibility depends on the size of the subsidiary.
¿A quién buscamos (H/M/D)?
- University degree in Business Administration/ Finance
- At least 8 years experience in similar jobs.
- Highly valued experience working in a project-based environment.
- Strong analytical skills and a structured way of working.
- Profound experience and broad understanding of corporate finance.
- Knowledge about the construction market is advantageous.
- Very good command in Spanish and English. Further language skills (p.E. German) are advantageous.
- Distinct project management skills and outstanding organizational skills.
- Excellent knowledge of MS Office and preferably experience with SAP FI/CO / SAP Business One.
- Team leadership skills and team-building ability.
¿Cuáles son tus beneficios?
Oportunidades de carrera y desarrollo profesional.