What Your Responsibilities will include:Coordination/steering of overall financial planning cycle and analysis.Monthly and medium-term planning and reporting including analysis and commentary of current vs. plan deviations.To prepare planning presentations to be approved by shareholders.To create and display cashflow planning and coordination of capital increases.Develop and maintain the controlling and internal steering system with a special focus on profitability.Continually work to optimize financial processes and reporting.Ad hoc analysis as required.Support in M&A projects.Assessment of business cases.What You Bring to The Role:Minimum 8 years' experience in Finance & Controlling as well with experience with international organizations.People oriented and data driven.Able to forecast and calculate financial statements.Knowledge of systems and databases and proficient user in Microsoft Office.Ability to translate strategy into a business plan along with leadership skills.Excellent active listening, negotiation and presentation skills.Competence to build and effectively manage interpersonal relationships at all levels of the company.Structured, solution-orientated, and independent way of working.Knowledge of local GAAP and IFRS.University degree in economics, business administration or an equivalent qualification.Proficient in English.Contract Type: FULL_TIMESpecialization: Contabilidad y finanzasArea: Controller FinancieroSector: IngenieríaSalary Band: NegotiableJob Type: PresencialExperience Level: Manager SeniorLocation: MadridReference: 2279072/001Publication Date: 30 de septiembre de 2024Consultant: Javier GonzalezCompany: Leading global operator specialised in the complete management of solar and wind assets for the generation of electricity is looking for a Structured Finance & M&A Analyst.
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