Descripciรณn del Puesto
Our client, a fast-growing company in the
hospitality sector
, is looking to hire a:
Treasury & Financial Controlling Specialist
The selected candidate will join the Group Finance team and play a key role in financial control and treasury management at group level.
Main responsibilities:
Preparation of monthly and annual closing reports.
Consolidation of balance sheets and cash flow statements for the group companies (approx. 10 entities).
Group treasury management and control: daily reporting of bank positions and cash flow forecasting.
Monthly P&L controlling, including variance analysis and reporting to management.
Supervision and coordination of the annual accounts of the group companies.
Requirements:
Minimum of
5 years of experience
in treasury, financial controlling or similar roles within a multi-entity environment.
Strong background in financial reporting, consolidation and cash flow management.
High analytical skills and attention to detail.
Fluent English is mandatory
(working language of the group).
Proactive, structured and hands-on professional profile.
What we offer:
Opportunity to join a solid and expanding company within the hospitality industry.
High level of exposure to group finance and management.
Dynamic and international working environment.
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.
Detalles del Puesto
Fecha de Publicaciรณn:
February 28, 2026
Tipo de Trabajo:
Finanzas y Seguros
Ubicaciรณn:
Spain
Company:
BrainHunters
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.