10 sep
|
AMFRESH Group
|
España
10 sep
AMFRESH Group
España
AMFRESH Group is a integral agrifood innovation company shaping the future of FRESH food through innovation, science and technology. Through its vertically integrated business model, the Group combines proprietary genetics and breeding, agriscience, biotechnology, sustainable farming and global commercialization to translate scientific innovation into commercial impact at scale. AMFRESH partners with many of the world's leading retailers and growers to deliver differentiated products, trusted supply and innovation across the FRESH food value chain, helping build healthier, more resilient and more sustainable food systems. If you have experience in Transaction Services, Due Diligence or Deals and are looking for your next step, this role is for you. You will join the Corporate Finance team of a growing international group, working as a direct partner to the CFO: analysing business performance across countries, preparing Board and shareholder materials and exposure to the real needs of the business. The role combines financial reporting and performance management, Board and shareholder reporting, and business partnering across the organization. You will work closely with senior leadership, gaining exposure to strategic initiatives and helping shape how the Group measures, communicates and creates value. Group Performance & Management Reporting Own and continuously improve the Group's management reporting framework. Deliver meaningful, decision-oriented analysis, not just financial reports. Cash flow generation Working capital performance Identify risks, opportunities and performance gaps across business units. Planning,
Forecasting & Business Performance Report and review the annual budgeting across the Group. Coordinate quarterly forecasts and long-range planning exercises. Challenge assumptions and ensure robust financial planning across business areas. Prepare high-quality financial and business performance materials for: Support the development of the Group's performance narrative. Translate financial results into clear business messages. Cash generation This role offers significant visibility and interaction with senior stakeholders. Enhance automation, dashboarding and data visualization capabilities. Improve data quality, consistency and reporting governance. Support the implementation of best-in-class FP&A; and performance management practices. We are targeting strong finance professionals with a combination of analytical rigor, business understanding and stakeholder exposure. FP&A;, Corporate Finance or Business Controlling in international companies. Big 4 Audit, Transaction Services and Deals. M&A; professionals looking for a broader operational finance role. P&L; management Cash flow generation Business KPIs Ability to simplify complex data into actionable insights. Advanced Excel and financial analysis skills. Experience with BI and reporting tools is highly valued (Power BI, Tableau, SAP Analytics Cloud, etc.). Strong business acumen and understanding of value creation. Ability to connect financial performance with business drivers. Adaptability to different audiences, from operational teams to senior executives. Strong stakeholder management skills. Fluent English (mandatory) Spanish (mandatory)
📌 Corporate Reporting & Performance Manager (Transaction Services / DD and Audit background) (España)
🏢 AMFRESH Group
📍 España