Senior Treasury Controller

SIX Group Services Ltd.

Madrid

Híbrido

EUR 90.000 - 120.000

Jornada completa

hace 31 horas
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Ventajas ofrecidas por este puesto de trabajo

Flexible work models
Personal development programs
Agile working methods

Descripción de la vacante

SIX Group Services Ltd. is seeking a Senior Treasury Controller in Madrid with a strong background in banking or financial institutions. The role focuses on treasury controlling, financial reporting, forecasting, and management information for regulatory and internal purposes.

You will lead liquidity management, investments, and cash operations, driving data analytics and KPI reporting while maintaining robust controls and governance. Proficiency in English and Spanish is required.

Formación

  • Bachelor’s degree in Finance or Accounting or related field.
  • Professional certifications such as CTP or CFA are a plus.
  • Strong analytical skills with experience in reporting and forecasting.

Responsabilidades

  • Oversee treasury reporting, planning, and forecasting for liquidity and risk.
  • Drive data analytics capabilities and KPI reporting across entities.
  • Ensure accuracy and integrity of treasury data and reconciliations.

Conocimientos

Analytical skills
English
Spanish
Excel
Power BI

Educación

Bachelor’s degree in Finance/Accounting
Certified Treasury Professional (CTP)
Chartered Financial Analyst (CFA)

Herramientas

Power BI
Tableau

Descripción del empleo

BME - Bolsas y Mercados Españoles - drives the transformation of financial markets and belongs to SIX, the third largest exchange group in Europe.


What sets us apart drives us ahead: between local roots and global relevance, we are a unique blend of tradition and future, of foundation and growth. We value bright minds and inspire them to grow with their ideas. Come and shape the future of finance with us.


Senior Treasury Controller

Madrid | Working from home up to 40% | Reference 8265


The Securities Services Treasury team oversees the regulatory treasury and cash management of the financial market infrastructures in Switzerland and Spain. In addition to steering and managing liquidity for the custody and clearing businesses, we are also responsible for investments, as well as the operational and strategic management of cash and collateral holdings.
We are seeking a highly skilled and experienced Senior Treasury Controller with a proven track record in banking or financial institutions. In this role, you will play a key part in overseeing treasury controlling activities, including financial reporting, performance analysis, forecasting, and management information. You will drive and support strategic initiatives and treasury projects, prepare high-quality reports and presentations for senior management, provide insightful analyses on liquidity, funding, investments, and treasury performance, and contribute to selected operational treasury activities and controls.


What You Will Do


  • Oversee clearing and post trading business related to client payments and liquidity management, while focusing on P&L reconciliation, operational controls, and other controlling-related accounting tasks.

  • Provide oversight of treasury activities including cash management, investments, and foreign exchange transactions, with a focus on reporting accuracy, controls, and governance.

  • Lead treasury reporting, planning, and forecasting activities, providing management with timely insights into liquidity and financial risk exposures.

  • Drive the development of Treasury's data and analytics capabilities by establishing a robust data foundation for ad hoc analyses, KPI reporting, forecasting, and strategic decision-making and monitor and analyse treasury KPIs, balance sheet developments, Net Interest Income (NII), and investment performance across multiple entities.

  • Ensure the accuracy, completeness, and integrity of treasury data, reports, and reconciliations through robust controls and governance frameworks.

  • Perform treasury-related accounting activities, including journal entries, account reconciliations, accruals, and month-end closing tasks and prepare accurate and timely financial reports for senior management, regulators, and other stakeholders.


What You Bring


  • Bachelor’s degree in Finance, Accounting, and/or professional certifications such as Certified Treasury Professional (CTP) or Chartered Financial Analyst (CFA) are a plus.

  • A minimum of 5 years of experience in Treasury Controlling or Financial Controlling

  • Collaborator with a positive attitude and at the same time independent, customer-focused, accurate, and efficient way of working, with a keen eye for detail in controlling-related tasks.

  • Strong analytical skills with experience in financial reporting, forecasting, performance analysis, and cash & liquidity management, supported by a solid understanding of controlling and reporting principles.

  • Advanced Excel skills and experience with reporting tools such as Power BI, Tableau, or similar platforms.Good analytical thinking, quick comprehension, and proficient in English and Spanish, with the ability to communicate effectively.


If you have any questions, check out our FAQ page or call Sara Perez de la Cuesta at +34 91 709 56 80 .


For this vacancy we only accept direct applications in English.


Diversity is important to us. Therefore, we are looking to receiving applications regardless of any personal background.


What We Offer

Flexible Work Models

We trust our employees and offer a work environment that is well-balanced, productive and fosters success.


Personal Development

You will benefit from a culture of continuous learning and feedback. Your personal growth is supported through an extensive learning offering.


Agile Working Methods

Whether through scrum or design thinking,
we solve exciting tasks together in teams.

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