The OpportunityLocation: BarcelonaWe are looking for a motivated and detail-oriented Group NWC & Cash Flow Controller to join our Finance team. Mission: Provide accurate and insightful analysis of Group net working capital and cash flow, ensuring a clear understanding of balance sheet dynamics and cash drivers. Enable informed decision-making through transparent, consistent financial insights.
What you'll get to doFunctions and Responsibilities:1.
Group Net Working Capital
Analysis - Monitor and analyse net working capital, explaining key movements vs prior periods, budget and forecast - Deep dive into receivables, payables, inventory and operational drivers - Identify risks, anomalies and opportunities to improve cash generation - Translate financial movements into business-driven insights in coordination with key functions2.
Group Cash Flow
Analysis & Forecasting - Prepare and review Group cash flow forecasts, ensuring alignment across actuals and budget/forecast - Build a clear bridge between EBITDA, working capital, CapEx and other cash drivers - Validate assumptions and challenge inputs to ensure robust cash flow projections3.
Performance
Reporting & Communication - Deliver regular reporting on NWC and cash flow performance - Analyse variances and provide clear, structured explanations for management - Support preparation of presentations and decision-making materials4.
Process
Improvement & Governance - Enhance cash flow reporting and working capital tracking - Drive consistency in definitions, methodologies and interpretation across the Group - Lead automation initiatives, including:
- Entity-level cash flow visibility - Aligned consolidated cash flow reporting5. Cross-Functional Coordination - Partner with key departments including Treasury, Accounts Payable, Accounts Receivable, Controlling, and Operations.
- Collaborate across functions to strengthen cash culture and disciplineWe'd love to meet you if you haveRequirements:
- Degree in Business Administration, Finance, Accounting or a related field - +4 years of experience in audit or finance, with exposure to balance sheet analysis, cash flow and working capital management - Strong understanding of balance sheet mechanics, cash flow dynamics and net working capital drivers, with the ability to connect financial performance to business activities - Proven ability to translate complex financial data into clear and actionable insights for senior stakeholders - Strong analytical skills, with high rigor and attention to detail - Proactive, hands-on mindset with a continuous improvement approach - Experience with ERP and reporting tools (e.G. SAP, consolidation systems) is a plus - Fluent in EnglishA few things you'll love about usAn entrepreneurial, creative and welcoming work culture A range of learning and development opportunities An international company with plenty of opportunities to grow A competitive compensation &
benefits package
📌 Group Nwc & Cash Flow Controller (Cataluña)
🏢 Puig
📍 Cataluña