Project Office Specialist

Opdenergy

País Vasco

Híbrido

EUR 55.000 - 75.000

Jornada completa

Hace 2 días
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Ventajas ofrecidas por este puesto de trabajo

Hybrid work model (2 remote days per‑w
Permanent contract
Growth in global, multicultural env.
Snacks and well‑equipped facilities

Descripción de la vacante

Opdenergy is expanding its Madrid-based treasury team and seeks a Treasury Specialist to optimize cash flow, ensure compliant payments, and drive automation across a multinational organization. The role offers a permanent contract and a hybrid work model with two remote days per week.

The successful candidate will manage treasury systems, collaborate with global finance teams, and contribute to ongoing digitalization initiatives in a dynamic energy group.

Formación

  • Bachelor's degree in Business Administration, Economics, Finance or a related field.
  • 5+ years in Corporate Treasury or similar role in an international company.
  • Advanced English (C1).
  • Strong SAP knowledge and Treasury Management Systems experience (SAGE XRT, Kyriba, SAP TRM).
  • Advanced Excel skills.
  • Solid cash management, payment processing, bank connectivity and treasury controls.
  • Experience managing relationships with financial institutions.
  • Strong analytical, organizational and problem‑solving skills.
  • Ability to work independently and manage multiple priorities in a dynamic environment.
  • Proactive, continuous improvement mindset.

Responsabilidades

  • Prepare, review and monitor the Group's daily cash position.
  • Manage and optimize cash flow and liquidity across multiple jurisdictions.
  • Execute and oversee domestic and international payment processes with compliance.
  • Maintain and optimize Treasury Management System (SAGE XRT) and connectivity.
  • Lead treasury transformation initiatives focused on automation and efficiency.
  • Develop, review and maintain treasury policies, procedures and internal controls.
  • Manage relationships with banking partners and implement new products.
  • Support financing transactions, refinancing processes and treasury-related projects.
  • Support audits with treasury documentation and compliance.
  • Perform month-end treasury closing activities, reconciliations and reporting.
  • Collaborate with Accounting, FP&A, Tax and local teams to ensure efficient cash management.
  • Identify opportunities for continuous improvement and digitize treasury processes.

Conocimientos

English (C1)
Analytical thinking
Organizational skills
Problem solving
Independent work

Educación

Bachelor's degree in Business Administration, Economics, Finance or related field

Herramientas

SAP
SAGE XRT
Kyriba
SAP TRM
Excel

Descripción del empleo

Opdenergy is a growing independent renewable energy producer (IPP) with presence in Europe, United States and Latin America with more than 21 years’ experience. The company develops, builds, finances, manages and operates high quality renewable energy projects in several countries, with a portfolio of 2,6 GW (1,3 operational and + 1,3 ready to build / under construction) assets in operations and construction, whole portfolio under development sums up to over 18 GW.

We are currently looking for a Treasury Specialist to join our Madrid team.

What will you help with?
  • Prepare, review and monitor the Group's daily cash position.
  • Manage and optimize the Group's cash flow and liquidity across multiple jurisdictions.
  • Execute and oversee domestic and international payment processes, ensuring accuracy, compliance and timely resolution of any incidents.
  • Maintain and optimize the Treasury Management System (SAGE XRT), improving bank connectivity, payment automation and treasury reporting.
  • Lead and participate in Treasury transformation initiatives focused on automation, process standardization and operational efficiency.
  • Develop, review and maintain Treasury policies, procedures and internal controls.
  • Manage relationships with banking partners and support the implementation of new banking products and services.
  • Support financing transactions, refinancing processes and treasury-related corporate projects when required.
  • Support internal and external audit processes by providing Treasury documentation and ensuring compliance with internal policies.
  • Perform month-end Treasury closing activities, including reconciliations and reporting.
  • Collaborate closely with Accounting, FP&A, Tax and local Finance teams across different countries to ensure efficient cash management and treasury operations.
  • Identify opportunities for continuous improvement and contribute to the digitalization of Treasury processes.
Who you are
  • Bachelor's degree in Business Administration, Economics, Finance or a related field.
  • At least 5 years of experience in Corporate Treasury, Cash Management or a similar role within an international company.
  • Advanced English (C1).
  • Strong knowledge of SAP.
  • Proven experience working with Treasury Management Systems (SAGE XRT, Kyriba, SAP TRM or similar).
  • Advanced Excel skills.
  • Solid understanding of cash management, payment processes, bank connectivity and treasury controls.
  • Experience managing relationships with financial institutions.
  • Strong analytical, organizational and problem-solving skills.
  • Ability to work independently, prioritize multiple tasks and meet deadlines in a dynamic international environment.
  • Proactive attitude with a continuous improvement mindset.
What do we offer?
  • Hybrid model with 2 flexible days a week working from home.
  • Stable employment based on a permanent contract.
  • Real chances to grow inside a global, multicultural environment.
  • Free snacks and well-equipped facilities.

We're an equal opportunity employer. All applicants will be considered for employment without attention to race, color, religion, sex, sexual orientation, gender identity, national origin, veteran or disability status.

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