Job Responsibilities
* Develop and implement financial strategies to ensure the financial stability of the Spanish entity.
* Oversee the preparation of monthly, quarterly and annual financial statements.
* Manage cash flow and optimise liquidity management.
* Draw up financial forecasts and annual budgets.
* Analyse financial performance and propose corrective action.
* Monitor performance indicators and produce management reports.
* Implement and monitor internal control procedures.
* Manage external and internal audits.
* Ensure the company's tax and legal compliance in Spain.
* Maintain relations with local tax authorities and regulators: prepare and submit tax returns, including VAT, income tax (IRPF), and other tax obligations.
* Complete the forms required by the tax agency and the INE statistics related to the company's economic aspects.
* Collaborate with the HR department on the flexible compensation and shares system, expense reports, and payroll payments.
* Work with other departments to provide financial analysis and recommendations.
* Participate in development projects and strategic initiatives.
* Promote a culture of performance and ethical standards.
Minimum Requirements
* You ideally have 3 years of experience in a similar position, preferably in an international environment.
* Previous experience in the travel industry is highly regarded.
* Excellent command of accounting and financial standards.
* In-depth knowledge of Spanish taxation.
* Experience with Dynamics365 is a plus!
* Experience with ERP software (SAP, Oracle, etc.) is a plus.
* Analytical mindset and strategic thinking.
* Excellent communication and leadership skills.
* High level of Spanish and English; French is a plus.
* Thoroughness and attention to detail.
Se ofrece
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