14 sep
|
Jobtailor
|
Madrid
Oversee the accounting of Click&Boat; and its subsidiaries in France, Spain and an additional international entity
Manage the internal accounting team and coordinate local accounting firms
Run monthly and annual closing processes and ensure accurate trial balances
Review accounting entries, including provisions, cut-offs, accruals, reconciliations, intercompany transactions and fixed assets
Oversee balance sheet reconciliations and coordinate Group consolidation activities
Act as the main contact for statutory and external auditors
Lead financial and statutory audits, coordinate PBC requests and supporting documentation, respond to auditor queries and follow up through sign-off
Manage corporate housekeeping, general meetings, shareholder resolutions, financial statement approvals, articles of association, directors, legal representatives, delegations of authority, banking powers and statutory registers
Support implementation of new international entities, including incorporation, tax registrations, bank accounts, KYC, accounting setup and intercompany documentation
Manage banking relationships, bank accounts, authorised signatories, mandates, banking KYC, cash positions, short-term cash investments and cash forecasting
Oversee accounts payable, exceptional payments, approval workflows, banking access rights, payment permissions and segregation of duties
Coordinate tax advisors and accounting firms, tax filings, VAT, corporate income tax matters and tax audits
Document financial and accounting processes and design controls based on key financial risks
Continuously improve financial data and documentation reliability as the Group scales internationally
Report directly to the Finance Director
Directly manage one accountant and coordinate external partners
Requirements
7 to 10 years of experience across finance, accounting and audit
Ideally 3 to 5 years in audit, Big Four or a recognised firm,
followed by several years in an in-house role such as Accounting Manager, Finance Manager, Financial Controller or equivalent
Hands‑on experience with financial closings, auditor relationships, treasury, banking and payments
Strong technical accounting skills
Experience in an international, multi‑entity environment is a strong advantage
Comfortable with cut‑offs, provisions, reconciliations and intercompany transactions
Able to independently manage an audit process end‑to‑end
Comfortable dealing with banks, payments and treasury management
Able to take ownership of day‑to‑day corporate and legal matters
Able to coordinate accountants, auditors, lawyers, tax advisors and banks
Structured, rigorous, pragmatic and solution‑oriented
Able to manage multiple topics simultaneously with a high degree of autonomy
Comfortable working in a fast‑paced, entrepreneurial environment
Fluency in French and English
Core Competencies
Demonstrates extensive experience in financial management, accounting, and audit processes, with a strong focus on managing multi‑entity environments and ensuring compliance with statutory requirements. Proficient in financial closings, audit coordination, and maintaining banking relationships while leading a team in a fast‑paced, international setting.
Highest-signal resume keywords
Financial Management
Audit Coordination
Technical Accounting Skills
Multi‑Entity Environment Experience
Fluency in French and English
Hard Skills
Financial Closing
Trial Balance Management
Balance Sheet Reconciliation
Intercompany Transactions
Tax Filings
Cash Forecasting
Treasury Management
Accounting Process Documentation
Statutory Audits
Corporate Housekeeping
Soft Skills
Structured
Rigorous
Pragmatic
Solution‑Oriented
Autonomous
Industry Keywords
Big Four Experience
International Accounting
Corporate Income Tax
KYC
Banking Relationships
Financial Statement Approvals
Shareholder Resolutions
Legal Representatives
Delegations of Authority
VAT
📌 Group Financial Controller (Madrid)
🏢 Jobtailor
📍 Madrid