financial performance tracking, accounting supervision, treasury, payments and risk control . This role is designed for someone who
controls the business through data , with
Excel as a core working tool, besides other data tools.
Key responsibilities Financial controlling and business performance tracking Supervision of accounting delivered by external advisors Review of monthly closings and financial consistency Cash-flow control and treasury forecasting Invoicing, reconciliations and revenue control Payments, payouts and suppliers supervision Payments flows analysis and anomaly/fraud detection Financial and business reporting to management Improvement of internal control processes
Required profile 3–5 years of relevant experience
in
financial controlling, finance operations or business finance. Strong ability to
supervise accounting , without performing daily bookings Background in
startup, fintech, e-commerce, SaaS or payment environments Very strong Excel skills
(advanced formulas, pivot tables, data analysis) Analytical, autonomous and problem-solver mindset Comfortable working with external accounting firms English –
Professional working proficiency (mandatory) . Excel proficiency is mandatory . This role is Excel-driven.
Nice to have Experience with
payment service providers (PSP) Exposure to
fraud prevention or transaction control Experience building dashboards or financial models in Excel
What we offer Permanent contract High ownership and visibility Fast-growing and dynamic environment, high performance culture, your, ambitious, and driven environment. Location:
Modern, well-connected offices located in the Chamberí district. Food & Perks:
Free daily lunch, snacks, fruit, and drinks always available.
Why join us You will
control the financial reality of the business You will work close to decision-making You will have real impact from day one