Descripción del trabajo
* Minimum 5 years experience. * Monitor cash balances and audit accounts payables. * Month End Process: P&L analysis, cash flows and accruals. * Perform monthly reconciliations: bank accounts and intercompany accounts. * Tax return. * Assistance with annual audits (internal and external). * Reporting. * Very valuable: experience in regulated companies and in reporting to the Bank of Spain.
Solicitud
* Experience at an international accounting department or Big Four or similar outsourcing department desirable. * Fluent English. * Superior communication skills in English, both spoken and written, to effectively address and influence all levels within the organization. Russian or Ukrainian a plus. * Proficiency in Excel. * NPGC (local Spanish rules) and IFRS. ITA GAAP (desirable). * Good organizational and planning skills. * Flexible and adaptable to changing work demands. * Experience in Business Central/Dynamics. * knowledge of power BI. * Taxes / SII.
Beneficios
* Good working environment and great team. * Employee discounts. * Very competitive salary package.