Senior Manager, Global Consolidations & FX Risk

Ebury

Madrid

Híbrido

EUR 90.000 - 120.000

Jornada completa

hace 40 horas
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Ventajas ofrecidas por este puesto de trabajo

Competitive salary
Annual discretionary bonus
Mentorship
Cutting-edge technology
Career progression
Collaborative culture
Central Madrid office

Descripción de la vacante

Ebury Madrid is seeking a Senior Manager of Financial Consolidation & FX Risk to lead multi-currency consolidations, CTA accounting, and treasury FX strategies across global entities. You will partner with Treasury, manage close processes, and drive ERP (NetSuite) and TMS enhancements, with option for permanent or interim engagement.

This role blends technical IFRS expertise with leadership in a multinational fintech, located in Madrid with hybrid work arrangement.

Formación

  • 7+ years of hands-on experience in global financial consolidation, FX accounting, and treasury management.
  • Experience managing subsidiaries across the world to consolidate multi-currency products and derivatives.
  • Bachelor's degree in Finance or Accounting; ACCA/ACA/CPA/CTP or PMP preferred.

Responsabilidades

  • Lead global foreign currency translation, remeasurement, and intercompany accounting in IFRS (IAS 21).
  • Oversee multi-currency monthly closes, intercompany eliminations, and CTA movement roll-forwards.
  • Design and monitor hedging strategies across derivatives to support IFRS 9.
  • Drive ERP and TMS enhancements to automate FX exposure tracking and valuation gains/losses.
  • Advise on intercompany financing and net investment hedging to reduce P&L volatility.
  • Deliver FX analyses and project updates to executive leadership.

Conocimientos

Global consolidation
FX accounting
Treasury management
IFRS IAS 21
IFRS 9

Educación

Bachelor's degree in Finance
ACCA/ACA/CPA
PMP

Herramientas

NetSuite
Treasury Management System (TMS)

Descripción del empleo

Ebury Madrid is seeking a Senior Manager of Financial Consolidation & FX Risk to lead multi-currency consolidations, CTA accounting, and treasury FX strategies across global entities. You will partner with Treasury, manage close processes, and drive ERP (NetSuite) and TMS enhancements, with option for permanent or interim engagement.

This role blends technical IFRS expertise with leadership in a multinational fintech, located in Madrid with hybrid work arrangement.

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