Barcelona Headquarters Hello! We are Volotea, the airline of the small and mid-sized cities in Europe. Since our inception in 2012, we have been amongst the fastest-growing low-cost airlines in Europe. We are enthusiastic enablers of direct travel for Europeans who don't live in big hubs. We are changing air travel from small and mid-sized cities in Europe, many previously unconnected or underserviced. We aim to connect the people in these cities with their passion for travel, in an enjoyable and increasingly sustainable way.
After over a decade in the skies, we have now flown close to 60 million passengers. Today, we serve over 100 destinations in 18 countries, actively consolidating our position among the top European airlines in the industry. In recent years, we have raised our travel capacity more than most competitors, increasing our number of aircraft, routes, destinations, employees, and markets. Throughout this journey, our team continues to excel and grow stronger as our services gain recognition amongst an expanding European audience. We are a young, dynamic, and international team that enjoys working together to grow our company during this exciting time in the airline industry.
Our main markets are France, Italy, Spain, and Greece. We have 21 operational bases: Nantes, Bordeaux, Toulouse, Marseille, Strasbourg, Lille, Lourdes, Lyon, and Brest in France; Venice, Verona, Palermo, Cagliari, Olbia, Florence, Bari, and Naples in Italy; Asturias and Bilbao in Spain; Athens in Greece; and Hamburg in Germany.
If you feel inspired by our story and you're ready to take off with us, continue reading!
We are hiring a FP&A and Reporting Manager who has experience in interacting with different cultural environments and can work in a challenging high-growth atmosphere. Are you a skilled, positive, assertive, and sociable individual who enjoys working as part of a multicultural team? If your answer is yes, apply to come on board and make Volotea your next professional destination.
What you will do: Efficiently coordinate monthly management reporting (P&L, Balance Sheet, Cashflow and management KPI's) providing the necessary insight to "go beyond the numbers".Lead the preparation of annual company´s budget and regular quarterly forecasts to facilitate business review.Be responsible for Cash Flow planning, in terms of long-term strategic forecast while providing support to Treasury Department on Cashflow analysis for the purpose of planning of Short-Term Cash Flows.Prepare Business Plans (P&L, Balance Sheet, Cashflow and management KPI's) and assure proper reporting to external stakeholders: banks, investors and shareholders.Perform Business Cases and profitability analysis for the purpose of decision making.Analyze financial/operational information required by senior management/Board and provide financial/analytical support to other departments.Support accounting department with regards to the audit process.
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