CFO - Private Equity Portfolio Company

Michael Page

Madrid

Presencial

EUR 90.000 - 130.000

Jornada completa

14 días+
Generador de candidaturas

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Ventajas ofrecidas por este puesto de trabajo

Attractive salary package
Opportunities for professional growth

Descripción de la vacante

Michael Page is seeking a Chief Financial Officer for its Madrid headquarters. The ideal candidate will have 3–5 years of CFO experience in a mid-sized international company and must have Private Equity portfolio experience.

The role requires fluency in English and Spanish and involves acting as a strategic business partner to the CEO. Responsibilities include leading strategic planning, financial reporting, budgeting, tax and risk management, and building a high-performance finance team.

Formación

  • 3–5 years CFO experience in a mid-sized international company.
  • Experience in a Private Equity portfolio company is a must.
  • Proficiency in English and Spanish.

Responsabilidades

  • Lead strategic and long-term business planning as a key business partner to the CEO.
  • Oversee preparation of financial statements and cash flow management.
  • Coordinate external audits and ensure regulatory compliance.

Conocimientos

English fluency
Business partnering
Leadership

Herramientas

IFRS
Local GAAP

Descripción del empleo

  • Experience in a Private Equity portfolio company is a must. Fluent in English
  • Project-based experience is a must (managing P&L and cash flow per project)

A fast growing and leading international company in its sector is seeking a CFO for its Madrid headquarters. The ideal candidate will have at least 3-5 years of experience as CFO in a medium-sized international company. Experience in a Private Equity portfolio company is a must. Ability to serve as a solid Business Partner for CEO. Experience in the complete sale process of a private equity portfolio company, will be a plus. Project-based experience is a must (managing P&L and cash flow per project and complex contracts. Analyzing project CAPEX). Candidates who have lived and/or worked outside Spain will be highly valued. Proficiency in English and Spanish is a requirement.


Reporting to the company's CEO, the selected candidate will be responsible for the following functions:

Business Strategy
  • Lead the formulation of strategic and long-term business planning, assess the implications for the organization's financial architecture to support it, and act as a key business partner to the CEO as part of the senior management team, providing strategic, analytical and business insight.
  • Provide forward-looking analysis and insights to validate strategy, capital allocation and business plan.
Financial Operations Management
  • Accountable for the preparation of accurate and timely financial statements, including income statements, balance sheets, and cash flow statements.
  • Optimize and oversee the company's cash flow and working capital to ensure sufficient liquidity for operational needs.
  • Cultivate strong relationships with banking partners and other financial institutions to ensure access to necessary financial resources.
Accounting and Financial Reporting
  • Ensure accounts are maintained in compliance with statutory requirements, accounting standards (e.g., LOCAL GAAP, IFRS), and regulatory requirements.
  • Oversee and present monthly financial reports, including analysis of variances between actual results and forecasts to the CEO and senior stakeholders.
  • Coordinate the external audit process, including preparation of audit schedules and liaison with auditors.
Budgeting and Financial Forecasting
  • Own and lead the development of annual budgets that reflect the company's financial targets, monitoring and adjusting them to ensure alignment with company goals.
  • Drive the development and utilization of financial planning and forecasting models to provide forward-looking insights to support decision-making and business plan execution.
Risk Management
  • Identify and assess financial risks, including market, credit, operational, and compliance risks.
  • Establish and enforce policies and procedures to manage financial risks effectively, ensuring compliance with relevant financial regulations and reporting requirements.
  • Monitor risk limits as set in the business plan.
Leadership and Team Development
  • Lead, mentor, and develop the finance and accounting team, fostering a culture of high performance and continuous improvement.
  • Collaborate effectively with other departments to enhance overall organizational performance.
Tax Management
  • Stay updated on tax regulations and ensure compliance with national and international tax laws, including transfer pricing regulations.
  • Identify and minimize tax risks, overseeing tax filings and preparing timely tax reports.
Financial Systems and Internal Controls
  • Implement and oversee robust financial systems and processes to ensure data accuracy, efficiency, and security.
  • Establish internal controls and procedures to safeguard company assets and ensure financial integrity.
Cost Management and Savings Identification
  • Identify cost-saving opportunities and present them to the CEO.
  • Prepare business analyses and investment calculations to support decision-making.
IT and Compliance
  • Ensure a secure and modern IT infrastructure while monitoring and minimizing IT risks, including cybersecurity and data protection.
  • Ensure compliance with IT-related legal and regulatory requirements.

  • Attractive salary package.
  • The final offer will depend on the real experience demonstrated through the process.
  • Opportunities for professional growth and development.
  • Job location: Madrid.
  • Job managed by: Guillermo Recoder.
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