COUNTRY FINANCES MANAGER - SPAIN

OPmobility

Vigo

Presencial

EUR 60.000 - 90.000

Jornada completa

Hace 5 días
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Descripción de la vacante

OPmobility in Vigo, Spain, is seeking a senior finance leader to ensure profitability and optimize financial management across country sites. You will prepare reports, monitor P&L, balance sheet and cash flow, and supervise accounting processes and controls.

Responsibilities include audits coordination, treasury management, tax and regulatory compliance, cost control, and strategic partnership with the General Manager to drive financial performance.

Formación

  • Experience in managing country-level finance operations.
  • Strong ability to prepare and present financial reports to senior management.
  • Knowledge of tax and regulatory compliance.

Responsabilidades

  • Prepare and analyze financial reports.
  • Review P&L, Balance Sheet, and Cash Flow.
  • Monitor liquidity and cash flow forecasts.
  • Review invoices, contracts and financial agreements.
  • Oversee accounting processes and documentation.
  • Coordinate internal and external audits.
  • Prepare presentations for Senior Management and the Group.
  • Lead treasury and cash management.
  • Ensure tax and regulatory compliance.
  • Support risk management and internal controls.
  • Assist procurement and cost control.
  • Act as strategic business partner to the General Manager.
  • Lead and develop the finance team.

Conocimientos

P&L analysis
Cash flow forecasting
Audit coordination
Financial reporting
Treasury management
Cost control
Strategic partnership
Team leadership

Descripción del empleo

Mission
  • Ensures the country's profitability in line with budget objectives and provides the country management team with the necessary tools to monitor the company's profitability.
  • Ensures and optimizes the financial management and accounting of the country's sites.
Responsibilities
  • Prepare and analyze financial reports.
  • Review the Profit & Loss (P&L) statement, Balance Sheet, and Cash Flow.
  • Monitor daily liquidity and cash flow forecasts.
  • Review and validate invoices, contracts, and financial agreements.
  • Oversee accounting processes and financial documentation.
  • Coordinate internal and external audits.
  • Prepare presentations and financial reports for Senior Management and the Group.
  • Financial Management.
  • Financial Control and Group Reporting.
  • Treasury and Cash Management.
  • Tax Compliance and Regulatory Compliance.
  • Internal Control and Risk Management.
  • Procurement and Cost Control.
  • Strategic Business Partner to the General Manager.
  • Team Leadership and People Management.
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