Finance Specialist
CurrentAccounting & TreasuryFull group P&L, Balance Sheet, and Cash Flow responsibility overseeing all financial and accountancy matters incl. preparation of month-end reports, management accounts, and statutory accounts.Manage all accounting operations, incl. Billing, Bookkeeping, Accounts Receivable, Accounts Payable, Cash Management, Consolidations, Transfer pricing, Revenue recognition, etc.Oversee the annual audit.Manage all treasury and insurance-related activities.Financial Planning, Reporting and AnalysesSupport the preparation of the annual budget, monthly forecasts and variance analyses.Support the preparation of monthly management reporting on business performance including operational KPIs.Tax, Legal & CompliancePreparation of the monthly, quarterly, and annual tax filings across potential and multiple jurisdictions (Spain and EU).Manage monthly SOX reports