Treasury Senior Associate
N26 is seeking a Treasury Senior Associate to autonomously drive core treasury operations, liquidity and cash management, and investments, with a primary focus on public sector financing.
Open finance management roles in Spain, from our finance & accounting listings.
N26 is seeking a Treasury Senior Associate to autonomously drive core treasury operations, liquidity and cash management, and investments, with a primary focus on public sector financing.
A Manager, Global Accounting will lead accounting operations and ensure financial reporting integrity. The role offers a hybrid work model and professional growth in a scaling multinational.
This role involves managing monthly reporting, financial consolidation, and budget coordination for a multinational agri-food company.
Strategic financial advisor partnering with GTM executives to drive growth and discipline. You will manage budgeting, forecasting, and capacity modeling for SaaS operations.
This role involves managing accounts receivable, treasury, and credit control for a multinational company in the FMCG and technology sectors.
Lead the administrative, economic, and financial management of assigned construction projects and companies. You will oversee budgeting, treasury, and financial planning while ensuring tax compliance.
This role manages IT budget planning, expenditure control, and IT vendor performance. It offers the opportunity to lead financial processes and team management within a major insurance group.
This role involves managing finance transformation projects driven by Data and AI. You will lead teams, interact with C-level executives, and design data-driven financial processes.
A leading multinational company in the industrial and energy sector is seeking a CFO to join its management team in Madrid.
The CFO will act as a strategic partner to the CEO and shareholders, driving financial excellence and scalability for an industrial company backed by US Private Equity.
This role leads the global FP&A function, including budgeting, forecasting, and financial planning. It offers a competitive salary and professional development within an international group.
Corporate Treasury Manager for an international infrastructure group, responsible for liquidity optimization, banking relationships, and financial risk management.
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