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FINANCE MANAGER

Descripción de la oferta de empleo

At Board, we power financial and operational planning solutions for the world’s best brands. Thousands of enterprises use our technology to optimize resources, drive growth, and ensure profitability. With advanced analytics and forecasting, plus AI-driven insights, customers transform complex, real-time data into actionable intelligence.What’s been key to our success? Our people—we value everyone’s unique perspective and energy they bring to the organization. We collaborate openly across teams and borders. We embrace a growth mindset to get results. And we celebrate shared success as goals and milestones are achieved.Ready to join a team where innovation meets collaboration? If you're driven by bold ideas and a customer-centric mentality, your next adventure starts here!We are currently looking for a proactive and detail-oriented Finance Manager to join our team in Madrid.Reporting solid line to the VP of Finance, and dotted line to the French Country Manager, you will take responsibility for translating the corporate strategy into an operational plan focusing on “hands on” proactive problem solving while increasing profitability and productivity.In this role, you will collaborate with local and global stakeholders to manage General Accounting and Financial Statement, Financial & Management Reporting, Invoicing, Customer order, Treasury, and Office Administration processes.Responsibilities:Partner with the General Manager and SLT to provide actionable business insights on business performance to drive improvement and provide effective decision supportGeneral Accounting and Financial Statement (Full G/L responsibility, Monthly: Journal Entries, Review and make sure all accounting records are up to date and accurate, Annually: Perform all year end procedures, Reconciliation of G/L, Assist with annual Audit)Financial & Management Reporting with appropriate analysisOwn and drive the local budget and forecasting process, ensuring a “no surprises” environmentOverall Bank and Cash Flow Management and ReconciliationsMonth End (Intercompany Balance Confirmations, Professional Services Invoicing in Netsuite, Reconciliation of all Vendor Invoices Recharged to Customer)Pro-actively work with group and sales teams to drive collectionsLiaise and ensure effective working relationships and support from the central Sales Order and PtP teamsVendor Invoice Review for correctness/Statement Reconciliation and PaymentsManage Legal/Accounting service providers and support when necessaryVAT/Tax/Statutory Accounts returnsLegalInsuranceVehiclesIdentify areas of improvement within finance and implement necessary changesRequirements:Academic Background in Business Administration, Economics or similar area and CPA (Certified Public Accountant)Proven experience in a similar role, with a clear understanding of AccountingPrevious experience in a subsidiary of a multinational company in the software business will be considered a plusProactive and 'Hands on' approach, willing to get involved in non-accounting activities and to work with the local teams to ensure that all aspects of the financial & administrative needs of the business are metStrong communication and cooperation skills to build a network within the company worldwideAbility to operate professionally, effectively and influence at all levels and comfortable working in a matrix organization.Intellectually curious with a strong drive for resultsExcellent interpersonal skills, a flexible approach and ability to work under pressureProficiency in Netsuite, Excel or similar toolsFluency in French and EnglishOur commitment to Diversity and Inclusion Join a company that believes in the added value of diversity, inclusion, and belonging. We foster a working environment in which all people are respected and valued, for all aspects which make them unique. We hire you for who you are, and we want you to bring your true self to work every day!
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Detalles de la oferta

Empresa
  • Board
Localidad
  • En toda España
Dirección
  • Sin especificar - Sin especificar
Fecha de publicación
  • 27/11/2024
Fecha de expiración
  • 25/02/2025
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