Financial Reporting: Prepare accurate and timely financial statements, including profit and loss statements, balance sheets, and cash flow statements, in compliance with Spain regulations and the company's international reporting standards.
Risk Management: Identify financial risks and develop strategies to mitigate them. Maintain a strong internal control system to safeguard company assets and ensure compliance with relevant laws and regulations.
CashFlow Management: Monitor cash flow activities, optimize working capital, and maintain healthy liquidity levels to support business growth and investment opportunities
Tax Compliance: Collaborate with external tax advisors to ensure compliance with Spain tax regulations, filing accurate tax returns, and minimizing tax liabilities while adhering to legal requirements.
Financial Operations: Oversee day-to-day financial operations, including accounts payable and receivable, payroll, and intercompany transactions, while streamlining processes for greater efficiency.
Job requirements:
Bachelor’s degree required (Major in Finance, Business, HR, Management, etc.);
Atleast 1-2 years relevant working experience;
Fluent in Italian and English is a must, Chinese is considered a plus;