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In this role you will lead global, multi-currency consolidation and CTA/FX accounting, shaping how the business manages foreign exchange and financial close across entities. You’ll work with Treasury to design hedging strategies and oversee a broad derivatives portfolio, while driving system-enabled transformation of finance and treasury processes. The position offers a path to leadership in a fast-growing fintech with a global footprint. You will partner with cross-functional teams to improve processes and reporting, delivering clear insights to executive leadership.
Compensaciones / Ventajas
• Lead multi-currency monthly close across international entities, including intercompany eliminations and CTA movement roll-forwards
• Manage CTA and FX accounting in IFRS across global subsidiaries
• Design, execute and monitor balance sheet and cash flow hedging strategies for derivatives (forwards, swaps, options)
under IFRS 9
• Drive ERP (NetSuite) and Treasury Management System (TMS) enhancements to automate FX exposure tracking and P/L reporting
• Advise on international intercompany financing and net investment hedging to minimise Pu0026L volatility
• Deliver foreign exchange analyses and updates to board and senior leadership
• Lead finance and treasury transformation initiatives and change management efforts
• Support executive reporting and stakeholder communication on FX risk and consolidation processes
Responsabilidades
• 7+ years in general financial consolidation, FX accounting, and treasury management
• Experience consolidating subsidiaries globally and handling multi-currency products in fintech/financial services or Big 4 environments
• Strong IFRS knowledge with IAS 21 and IFRS 9
• Hands-on xghoner experience with NetSuite and a Treasury Management System (TMS)
• Proven ability to lead c
📌 Senior Manager (Madrid)
🏢 Ebury
📍 Madrid