€40K
🇬🇧Treasury Accounting Technician
Alcantarilla, Spain·Full-time·Added 4 days ago
4984 open roles
What they offer
€11 an hour
Gross, as stated in the ad.
Fixed-term contract
Full-time hours.
What they ask for
Have the right to work in Spain
Adecco España doesn't mention sponsorship in the ad.
Work in English
English is required, per the ad.
Work on-site in Alcantarilla
No relocation package mentioned.
Have 2+ years of experience
Mid-level role.
About the job
This job was automatically translated to English, .
We are looking for an Accounting Technician with experience in treasury and accounts payable to join the finance department. The selected person will be responsible for managing and supervising daily treasury operations, ensuring the correct execution of payments, liquidity control, and the reliability of financial information.
This is a key position within the accounting area, with a high level of responsibility, where precision, organization, and the ability to work in dynamic environments are required.
What we're looking for
Minimum of 2-3 years of experience in accounting and/or treasury areas
Demonstrable experience in:
Bank reconciliations
Management of payments to suppliers (Accounts Payable)
Control and monitoring of treasury / cash flow
Medium-high level of Excel (essential)
Experience with financial ERPs (SAP is valued)
B2 level of English
Nice to have
Training in Administration, Finance, Accounting, or similar
What you'll get
Joining a consolidated company, initially on a temporary basis with development possibilities.
Initial training and professional growth opportunities.
Good working environment.
Salary: €10.68 gross/hour.
Salary: €10.68 gross/hour.
How you'll work
Full-time position, 40 hours per week:
Split shift from Monday to Thursday
Intensive Friday mornings
Requirements
What does the company offer?
Buscamos un/a Técnico/a de Contabilidad con experiencia en tesorería y cuentas a pagar para incorporarse al departamento financiero. La persona seleccionada se encargará de gestionar y supervisar las operaciones diarias de tesorería, garantizando la correcta ejecución de pagos, el control de la liquidez y la fiabilidad de la información financiera.
Se trata de un puesto clave dentro del área de contabilidad, con un alto nivel de responsabilidad, donde se requiere precisión, organización y capacidad para trabajar en entornos dinámicos.
What we're looking for
Experiencia mínima de 2-3 años en áreas de contabilidad y/o tesorería
Experiencia demostrable en:
Conciliaciones bancarias
Gestión de pagos a proveedores/as (Accounts Payable)
Control y seguimiento de tesorería / cash flow
Nivel medio-alto de Excel (imprescindible)
Experiencia con ERP financieros (valorable SAP)
Nivel de inglés B2
Nice to have
Formación en Administración, Finanzas, Contabilidad o similar
What you'll get
Incorporación a una empresa consolidada, inicialmente en modalidad temporal con posibilidad de desarrollo.
Formación inicial y oportunidades de crecimiento profesional.
Buen ambiente de trabajo.
Salario: 10,68 € brutos/hora.
Salario: 10,68 € brutos/hora.
How you'll work
Jornada completa de 40 horas semanales:
Horario partido de lunes a jueves
Viernes intensivo de mañana
Requisitos
¿Qué ofrece la empresa?





