Experience in Budgeting & Strategic PlanningExperience in Process Architecture: Evaluate and optimize financial workflows
This company is a leading global secondary ticketing marketplace, they're leaders in entertainment, sports and leisure sector.
Core Responsibilities
P&L & Managerial Reporting: Own the monthly, quarterly, and annual P&L reporting. You will provide management with high-level insights into revenue drivers, margins, and operational efficiency.
Budgeting & Strategic Planning: Drive the annual budgeting process and maintain rolling forecasts. You will ensure that every department's spending is aligned with our long-term growth targets.
OKR Integration: Assist leadership in setting up OKRs cross the different departments and from then on tracking the financial OKRs on a periodic basis, ensuring that company-wide objectives are measurable and financially sound.
The Financial Hub: Serve as the primary point of contact for our two full-time accountants, management, and external tax consultants. You will ensure that accounting data is translated into clear, actionable business intelligence.
Compliance & Tax Oversight: Oversee global tax compliance and statutory requirements, ensuring the group remains audit-ready and compliant in all markets.
Process Architecture: Evaluate and optimize financial workflows and internal controls.
Location: 100% Remote or Hybrid working from an office in Alcorcon.
Structure: First finance hire; coordinating with 2 full-time accountants.
Reporting: Reports directly to Management.
Opportunity for professional development and growth in an international company.
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