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Senior Finance Manager (Chinese +English+ Spanish)

Antal International Network

Madrid

Presencial

Confidencial

Jornada completa

Hace 30+ días

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Descripción de la vacante

Una empresa de consultoría de ingeniería global busca un Gerente de Finanzas Senior para su oficina en Madrid. Este puesto es ideal para un profesional con sólida experiencia en contabilidad y gestión financiera, que hable chino, inglés y español. Las responsabilidades incluyen la contabilidad diaria, la preparación de estados financieros, y la gestión de impuestos y riesgos. Se ofrece un contrato permanente y un entorno dinámico donde podrás aplicar tus habilidades analíticas y de resolución de problemas. Si buscas un nuevo desafío en un entorno de trabajo colaborativo y exigente, esta es la oportunidad perfecta para ti.

Formación

  • Licenciatura en contabilidad o gestión financiera requerida.
  • 5+ años de experiencia en un puesto similar y dominio de software financiero.

Responsabilidades

  • Responsable de la contabilidad diaria y preparación de estados financieros.
  • Gestión de impuestos y riesgos financieros, incluyendo declaraciones fiscales.

Conocimientos

Habilidades analíticas
Resolución de problemas
Comunicación
Coordinación

Educación

Licenciatura en contabilidad
Licenciatura en gestión financiera

Herramientas

MS Office (Excel)
Oracle
Sage

Descripción del empleo

Senior Finance Manager (Chinese + English + Spanish)

Our client is a global engineering consulting company, headquartered in China. We are looking for a Senior Finance Manager to join their office in Madrid. Our client offers a permanent contract, and the candidate should hold working permits in Spain and use Chinese, English, and Spanish as working languages. Remote working is NOT permitted.

Main Tasks
  1. Daily accounting: responsible for all accounting of the Spanish company, such as voucher entry, document inspection, reconciliation and write-off, receipt and payment, and other financial-related work.
  2. Financial statements: responsible for the preparation and reporting of financial statements of the legal entity in Spain, such as balance sheets, income statements, cash flow statements, financial analysis, etc.
  3. Tax management: responsible for the tax management of Spanish companies, including daily tax declaration, tax knowledge learning, tax risk identification, and tax norms in business activities.
  4. Treasury management: responsible for bank docking, budget preparation, daily fund receipt, payment, and allocation. Assist in handling the company's financial cooperation with banks and other financial institutions, including account management, fund settlement, and loan application.
  5. Risk management: cooperate with the general manager in Spain to supervise business operations and timely warn of potential major financial risks, including the recovery of funds, management of deposits, and security of financial data.
Collaboration
  1. In the process of opening a company bank account, provide financial support.
  2. Docking the operation and development requirements of the company's system and cooperating with the commissioning, update, online, and other related work of the system.
  3. Assist the general manager to deal with various matters according to the various systems.
  4. Responsible for the publicity and implementation of the group's financial system.
Requirements
  1. Bachelor’s degree or above, major in accounting, financial management, or other related fields.
  2. Spanish, English, and Chinese are required as working languages. Working permits are a must.
  3. At least 5 years of work experience in a similar position, familiar with financial software and MS Office, including Excel, Oracle, and Sage.
  4. Good analytical and problem-solving skills, meticulous, patient, responsible, and strong ability to work under pressure.
  5. High communication and coordination skills, capable of explaining and analyzing financial data.
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