About us
We are a Multinational Company specialized in energy resources.
What are we looking for?
A candidate to join the Finance team In Madrid. This position will be responsible for the following tasks:
- Elaboration and analysis of the Group’s monthly financial reporting (Sales/EBITDA, Gross margin, Trade working capital & overdues, etc.).
- Elaboration and monitoring of the Group’s Free Cash Flow in cooperation with the Treasury department.
- Leading the analysis of the Group’s balance sheet and identifying potential efficiencies in terms of fixed assets (i.e. real estate divestments, machinery), inventories, provisions, other working capital, etc.
- Analytical control of the different regions and subsidiaries’ financial performance by entity, customer type and key accounts.
- Elaboration of financial presentations for the Group’s Board of directors, financial institutions and investors, information memorandums, etc.
- Collaboration in the different projects and deliverables carried out by the Finance department (business plan, mergers within the Group structure, divestment processes and DDs, capitalisations).
Other requirements:
* Languages: High level of english is required; Other language will be valued.
* Experience: 3-4 years in Big Four
* Strong financial and accounting fundamentals. High level in Excel is required. Experience in elaboration of Powerpoint presentations and experience in PowerBI is a plus.
Competencies :
* Analitical capacity
* Initiative
* Teamwork
* Pressure tolerance
* Problem solving
* Planning & organization