@ Team Panthr
Expect the unexpected.
We’re the first zero-BS talent matchmaker, empowering individuals through their job-seeking journey while helping companies find people who don’t just fit a role but share their vision.
From start to finish, we make hiring human again. With over 15 years of experience in the field, we combine data, expertise, and technology to create a recruitment process that’s smooth, transparent, and built on trust. We may work globally, but our feet and hearts are always on the ground.
Meet our client
Our client is CONFIDENTIAL, and the process will include an NDA.
They’re looking for a Senior Accountant to join their Finance team and play a key role in keeping their numbers sharp, their processes efficient, and their insights meaningful.
About The Role
As an Accounting Manager you will lead the accounting function, overseeing the full accounting cycle, treasury operations, and a small team of accountants. This role is pivotal in ensuring financial accuracy, compliance, and efficiency, while providing valuable insights to support strategic decision-making. The ideal candidate is a proactive, detail-oriented finance professional with strong leadership skills and the ability to thrive in a dynamic, fast-paced environment.
Key Responsibilities
Accounting & Financial Management
- Oversee and manage the day-to-day accounting operations, ensuring accuracy and compliance with Spanish GAAP (PGC).
- Supervise and mentor the accounting team, fostering professional development and a culture of excellence.
- Lead the monthly and annual financial closing processes, including preparation of financial statements and management reports.
Treasury & Cash Management
- Manage all treasury activities, including cash flow forecasting, cash pooling, and daily liquidity control.
- Ensure optimal use of company funds and efficient banking relationships.
- Oversee payment processes, bank reconciliations, and intercompany settlements.
Tax & Compliance
- Ensure full compliance with tax and regulatory obligations (VAT, CIT, withholdings, and other statutory filings).
- Liaise with external auditors, tax advisors, and regulatory bodies as needed.
Financial Reporting & Analysis
- Provide timely and accurate financial analysis to support management decisions.
- Monitor KPIs, working capital, and performance metrics to identify opportunities for improvement.
Process Improvement & Internal Controls
- Implement and enhance internal controls, accounting policies and procedures.
- Drive process optimization and automation initiatives to improve efficiency and accuracy.
What You Bring
- Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.
- At least five years of experience in accounting or audit, ideally in an international environment.
- Proven experience managing a team and leading accounting or finance operations.
- Strong expertise in treasury and cash pooling management.
- In-depth knowledge of Spanish GAAP (PGC) and local tax regulations.
- Advanced proficiency in MS Excel and experience with ERP systems (e.g., SAGE, Oracle, or similar).
- High level of integrity, accuracy, and ability to meet tight deadlines.
- Nice-to-have: Experience in audit (Big Four or similar).
- Familiarity with budgeting and forecasting processes.
- Professional proficiency in English.
What’s in it for You
- A full-time, permanent contract.
- A competitive salary package based on experience and skills.
- A hybrid work model with flexibility to work from home and the office.
- A comprehensive benefits package (e.g., private health insurance, meal vouchers, etc.).
- Real opportunities for career development and professional growth in an expanding company.
- An excellent work environment as part of a dynamic and professional team.
If this sounds like your next move, we’d love to meet you!