Take responsibility (either directly or via staff) for all cash management, investments, insurance, performance/completion guarantees, budgeting, and financial reporting, and help drive the company's financial strategy and hiring needs.
Coordinate development of annual operating, capital, and program budgets, as well as reporting for the same
Ensure cash flow is compatible with operations by overseeing day-to-day accounting, recording, reporting, and internal-control activities of the organization.
Develop and implement best practices and tools to ensure a well-controlled yet flexible organization that has strong fiscal management, project coordination, cross-team communications, and workflows.
Comply with national and local regulation and financial requirements in all countries where we operate by studying existing and new legislation and taking appropriate action.
Ensuring group's compliance with tax regulations as well as continuous optimization of our fiscal position as a group.
Work with senior managers to efficiently develop budget proposals, provide access to project finance information, and ensure contract/grant compliance and reporting
Research revenue opportunities and economic trends, analyze internal operations, and identify areas for cost reduction and process enhancement
Perform risk management through analysis of company liabilities and investments, and evaluate and manage capital structure and fundraising initiatives
Oversee payroll operations by coordinating with external service providers (ex: payroll, benefits, recruitment) and internal staff responsible for other aspects of HR
Monitor business performance with tracking tools, establish corrective measures as needed, and prepare detailed reports for earnings calls, management team, and rest of company
Manage finance personnel and oversee financial IT systems, ensuring compliance with relevant regulatory entities (ex: Financial Accounting Standards Board, Internal Revenue Service, state attorneys general)
Professional opportunities
Ten or more years of experience in executive leadership roles
Exceptional verbal, written, and visual communication skills in English. Spanish and/or Portuguese a plus
Understanding of advanced accounting, regulatory issues, and tax planning
Extensive experience and working network when it comes to rising capital outside traditional lines of credit
Master's degree (or equivalent experience) in accounting, business accounting, or finance
International finance experience
Experience in mergers and acquisitions and investor relations
Strong energy infrastructure industry knowledge with an eye towards the future.
Madrid, Madrid
Hace 3h
Madrid, Madrid
Hace 10h
Madrid, Madrid
Hace 16h
Madrid, Madrid
Hace 16h
Madrid, Madrid
Hace 18h
Madrid, Madrid
Hace 18h
Madrid, Madrid
Hace 16h
System Administrator (Microsoft Office 365)
Madrid, Madrid
Hace 16h
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