Financial Controller (Infrastructure Investment Management)

Adsearch

Madrid

Presencial

EUR 45.000 - 60.000

Jornada completa

Hace 8 días

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Descripción de la vacante

Adsearch is seeking a Financial Controller with 4–6 years of experience to join our Finance team in Madrid. The role works closely with the CFO and offers broad exposure to accounting, cash flow management, budgeting, financial analysis and reporting.

You will contribute to monthly, quarterly and annual closings, prepare management reporting, support audits, and drive improvements in controls and processes in an international, fast-growing environment. Fluent Spanish and English are required.

Formación

  • Bachelor's or Master's degree in Business Administration, Finance, Accounting or similar.
  • 4-6 years of relevant professional experience.
  • Big Four or audit firm exposure highly valued, especially international exposures.
  • Experience as Financial Controller in infrastructure or international environment is valued.
  • Strong ability to read and analyse balance sheets, P&L and cash flow statements.
  • Good understanding of cash flow management, budgeting, forecasting and analysis.
  • Advanced Excel skills; Power BI and financial systems/automation knowledge advantageous.
  • Fluent in Spanish and English; analytical, structured and detail-oriented.
  • Hands-on, proactive and flexible to work across Finance areas.

Responsabilidades

  • Support the preparation and monitoring of the annual budget and forecasts at group level.
  • Perform budget vs. actual analysis and explain key deviations.
  • Prepare and monitor cash flow forecasts, cash positions and liquidity requirements.
  • Review accounting information for accuracy and consistency of data.
  • Analyse balance sheets, P&L and cash flow statements and drivers.
  • Support monthly, quarterly and annual closing processes.
  • Participate in preparation and review of financial statements.
  • Prepare financial and management reporting for CFO and senior management.
  • Coordinate annual audits and liaise with external accountants, auditors and tax advisors.
  • Perform financial analysis and ad hoc reporting to support decisions.
  • Improve financial controls, reporting processes and internal procedures.
  • Participate in automation, systems and process improvement initiatives.
  • Support CFO on various financial and corporate projects as required.

Conocimientos

Advanced Excel
Power BI
Financial analysis
Budgeting & forecasting
Cash flow management
Auditing experience
Fluent English
Fluent Spanish

Educación

Bachelor's/Master's in Finance/Accounting

Herramientas

ERP systems
Audit software

Descripción del empleo

We are looking for a Financial Controller with 4-6 years of experience to join the Finance team of a fast-growing international infrastructure investment firm.

The role will work closely with the CFO and provide broad exposure to the company's financial management, combining accounting, cash flow management, budgeting, financial analysis and reporting.

We are looking for someone with a strong accounting foundation, analytical mindset and a hands-on approach, who is keen to develop into a well-rounded finance professional within an international and growing environment.

Responsibilities
  • Support the preparation and monitoring of the annual budget and forecasts at group level.
  • Perform budget vs. actual analysis and identify and explain key deviations.
  • Prepare and monitor cash flow forecasts, cash positions and liquidity requirements.
  • Review accounting information and ensure the accuracy and consistency of financial data.
  • Analyse balance sheets, P&L and cash flow statements, understanding the main movements and their underlying drivers.
  • Support monthly, quarterly and annual closing processes.
  • Participate in the preparation and review of financial statements.
  • Prepare financial and management reporting for the CFO and senior management.
  • Support the coordination of annual audits and liaise with external accountants, auditors, tax advisors and other service providers.
  • Perform financial analysis and ad hoc reporting to support business and management decisions.
  • Support the improvement of financial controls, reporting processes and internal procedures.
  • Participate in automation, systems and process improvement initiatives.
  • Support the CFO on different financial and corporate projects as required.
Candidate
  • Bachelor's or Master's degree in Business Administration, Finance, Accounting or similar.
  • 4-6 years of relevant professional experience.
  • Previous experience in Big Four or a leading audit firm is highly valued, particularly candidates with strong exposure to accounting, financial statements and audit of international companies.
  • Alternatively, experience as a Financial Controller, ideally within Infrastructure, Energy or another international environment, would be highly valued.
  • Strong accounting knowledge and ability to confidently read, understand and analyse a balance sheet, P&L and cash flow statement.
  • Good understanding of cash flow management, budgeting, forecasting and financial analysis.
  • Advanced Excel skills. Power BI and experience with financial systems or automation tools would be an advantage.
  • Fluent Spanish and English.
  • Analytical, structured and detail-oriented.
  • Hands-on, proactive and eager to learn, with the flexibility to get involved across different areas of Finance.
  • Comfortable working in a dynamic, international and fast-growing environment.
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