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Consolidation & Subsidiaries Controller -Luxembourg / Madrid

Villarroel & Hunter

Madrid

Híbrido

EUR 50.000 - 70.000

Jornada completa

Hoy
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Descripción de la vacante

A company in the infrastructure sector seeks a Consolidation & Subsidiaries Controller to oversee financial operations and reporting. This role requires extensive controlling experience, expertise in IFRS financial statements, and strong managerial skills. The chosen candidate will be based in Luxembourg with travel to Madrid once a month. Ideal candidates will have strong analytical skills, be fluent in Spanish and English, and have ERP systems expertise. Compensation includes a fixed salary, bonus, and benefits.

Servicios

Bonus
Benefits

Formación

  • 7 years of controlling experience is required.
  • Experience with IFRS financial statements consolidation is a must.
  • Fluent in Spanish and English is necessary.

Responsabilidades

  • Responsible for overall financial operations and reporting of the group.
  • Consolidate financial statements and prepare financial reporting.
  • Work closely with international subsidiaries and manage local finance managers.

Conocimientos

Controlling experience
Communication skills
Analytical skills
Excel skills
ERP systems experience
Team player
Multitasking skills
Managerial skills

Educación

CPA
MBA

Herramientas

ERP systems
Descripción del empleo
Consolidation & Subsidiaries Controller

On this occasion, we are working for company operating in the area of infrastructure projects, looking for :

This position will be located in Luxembourg offices, but will also usually be 1 week / month in Madrid HQ.

As Consolidation & Subsidiaries Controller you will be responsible for the overall financial operations and reporting of the group. This includes financial statements consolidation, monthly / quarterly / annual financial reporting, working closely with international subsidiaries, external accountants and other departments across the organization, responsibility over the ERP system, preparations of the annual budget, budget / forecast vs. actual analysis and quarterly presentations to senior management, treasury and cash flow management, payroll and expenditure, work with banks, suppliers, institutions, responsible for the annual audit, ensuring compliance with local regulations, transfer pricing policy, tax returns and statutory reporting. This position will report to the Group's CFO and will manage HQ finance dept. along with professional management of the subsidiaries’ local finance managers.

What we are looking for :
  • A CPA with a big4 experience, MBA- an advantage
  • 7 years controlling experience
  • Experience from a public international company with foreign subsidiaries
  • Experience in IFRS financial statements consolidation
  • Experience handling auditors
  • Experience in projects' controlling and accounting
  • Excellent multitasking skills, hands on approach, dynamic and motivated
  • Managerial skills and high ability of leading improvements in business processes
  • Excellent communication skills, a team player who enjoys working in an international environment
  • Excellent analytical skills, reliable and flexible with ability to meet tied deadlines
  • Excellent Excel skills and experience with ERP-systems
  • Fluent in Spanish and English- spoken and written.

About our client

Salary : Fixed + bonus + benefits

Location : Luxembourg + 1week / month in Madrid

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