Responsibilities
- Manage the monthly reporting, cash flows, financial review for Spain (and several EU countries soon).
- Monitor KPIs, highlight opportunities and potential threats. Proactively propose optimisation and mitigation actions in collaboration with the Heads of Department and levels C.
- Coordinate with tax and accounting advisors.
- Coordinate with external auditors.
- Implement and maintain internal controls to mitigate financial risks.
- Evaluate and implement financial systems and technologies to streamline processes, improve accuracy, and enhance reporting capabilities.
- Coordinate with the tech team the construction of a business intelligence tool.
Role Requirements :
- At least 7 years of working experience, of which 5 must be in a similar position.
- University degree in Business Administration, Economics or related field
- MBA or similar post-graduate programme is a plus.
- Experience in the life-sciences, health or pharmaceutical sector is a plus.
- Experience in startups or inpanies with subsidiaries is a plus.
- Excellentmunication skills at a written and oral level, both in Spanish and English.
- High level of English. Other languages will be a plus
Hace 8 horas