Accountant

Gala Capital

Madrid

Presencial

EUR 30.000 - 45.000

Jornada completa

hace 21 horas
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Descripción de la vacante

Gala Capital is seeking an experienced, hands-on Accountant to join our finance team and manage the day-to-day accounting and tax matters across several companies within the Group.

The role offers exposure to a range of entities and investments, requiring organization, accuracy, and the ability to work independently in a growing, dynamic environment at our Madrid headquarters.

Formación

  • Previous experience in an accounting role.
  • Strong knowledge of Spanish accounting principles and regulations.
  • Good command of Excel and accounting software.
  • Conversational English.

Responsabilidades

  • Day-to-day accounting: invoices, bank transactions, accounts payable and receivable, bank reconciliations, depreciation, and provisions.
  • Monthly and year-end closing: preparation of monthly and annual closings and support in the preparation of annual financial statements.
  • VAT and tax compliance: preparation and filing of VAT returns, withholding taxes, and other recurring tax obligations.
  • Cash management: monitoring bank balances, payments, and collections.
  • Audit: preparation of documentation and coordination with external auditors.
  • Public authorities: Filing of documentation with the relevant authorities.
  • Reporting: preparation of accounting and financial information for Management, as well as support with other financial and administrative matters across the Group.

Conocimientos

Spanish accounting principles
Excel
Accounting software
Conversational English

Herramientas

Excel
Accounting software

Descripción del empleo

Gala Capital is looking for an experienced, hands-on Accountant to join our finance team and manage the day-to-day accounting and tax matters of several companies within the Group.

We are looking for someone who is organized, accurate, resourceful, and comfortable working independently. The role provides exposure to a variety of companies, investments, and transactions, making it particularly well suited for someone who enjoys working in a diverse and dynamic environment.

Key Responsibilities
  • Day-to-day accounting: invoices, bank transactions, accounts payable and receivable, bank reconciliations, depreciation, and provisions.
  • Monthly and year-end closing: preparation of monthly and annual closings and support in the preparation of annual financial statements.
  • VAT and tax compliance: preparation and filing of VAT returns, withholding taxes, and other recurring tax obligations.
  • Cash management: monitoring bank balances, payments, and collections.
  • Audit: preparation of documentation and coordination with external auditors.
  • Public authorities: Filing of documentation with the relevant authorities.
  • Reporting: preparation of accounting and financial information for Management, as well as support with other financial and administrative matters across the Group.
What We Are Looking For
  • Previous experience in an accounting role.
  • Strong knowledge of Spanish accounting principles and regulations.
  • Good command of Excel and accounting software.
  • Conversational English.

Qualifications and experience matter, but so do attitude and common sense. We are looking for someone practical, dependable, and willing to get involved, who feels comfortable working in a growing and entrepreneurial environment.

What We Offer
  • A stable position within an established and growing investment group.
  • A professional, straightforward working environment with a high degree of autonomy and the opportunity to take on additional responsibilities over time.
  • Competitive compensation and additional benefits.
  • An office-based position at our Madrid headquarters.
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