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Financial Manager

On-site in València·Added today

Family Cash

9 open roles

Overview

Requirements

  • Have the right to work in Spain

    Family Cash doesn't mention sponsorship in the ad.

  • Work on-site in València

    No relocation package mentioned.

  • University degree

    “Título universitario en Finanzas, Contabilidad o campo relacionado.” — per the ad.

This job was automatically translated to English.

Pay & benefits

What you'll get

Why Join Us:

  • Opportunity to make a significant impact within a growing organization.
  • Competitive salary.
  • Collaborative work environment with professional development opportunities.
  • Flexible work arrangements to support work-life balance.

Requirements

What we're looking for

Requirements:

  • University degree in Finance, Accounting, or a related field.
  • Solid knowledge of accounting principles, financial analysis, and reporting.
  • Excellent communication skills with the ability to interact effectively at all levels.
  • Proficiency in Microsoft Office.
  • Demonstrated ability to prioritize tasks and manage multiple projects simultaneously.
  • Strategic thinker with analytical skills and great attention to detail.
  • Resilient under pressure with the ability to maintain composure in challenging situations.

Nice to have

  • Previous experience in a similar position is desirable.

The role

As Financial Manager, your responsibilities will range from financial planning and risk management to overseeing accounting processes and data integrity. You will lead a dedicated team, drive process improvements, and provide strategic insights to the core team and management.

What you'll do

Key Responsibilities:

  • Lead and advise the finance and administration team, delegating tasks and seeking efficiency.
  • Develop and refine financial policies aligned with organizational objectives.
  • Oversee financial planning, cash flow management, and risk mitigation strategies.
  • Ensure the accuracy, integrity, and compliance of financial records across all corporate entities.
  • Perform regular bank reconciliations with control of accounts receivable and accounts payable.
  • Prepare quarterly and annual VAT, as well as year-end closing.
  • Prepare and analyze financial reports that support decision-making.
  • Responsible for budgeting and forecasting.
  • Collaborate and maintain strong relationships with external partners, such as auditors, tax specialists, legal advisors, and banks.
  • Provide support in acquisition activities and project development, including feasibility assessments and financial models.
  • Maintain permanent records of corporate entities and oversee tasks related to human resources, such as payroll management.
  • Direct report to Management.

About Family Cash

Industry
Retail
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