Palex Medical
Corporate
16 hours ago
Description
Palex Group is a leading and continuously growing company within the healthcare and hospital sector. We are looking for a Corporate Finance Analyst to join our Corporate Finance team, reporting directly to the Corporate Finance Manager.
This role will be responsible for preparing key financial reporting, performing financial analysis, and supporting strategic initiatives across the Group. The position requires close collaboration with local finance teams and corporate departments to ensure accurate reporting, robust financial planning, and informed decision-making.
Main Responsibilities
- Manage the controlling activities of the Group’s holding companies, including the review of corporate profit and loss accounts, analysis of variances, and preparation of corporate reporting packages.
- Prepare key analyses and reporting for the Board of Directors, including Consolidated Cash Flow, Cash Flow Analysis, Balance Sheet Analysis, Working Capital Analysis, Capital Expenditure (Capex) Analysis, and Net Financial Debt Analysis.
- Coordinate with local finance teams to gather and validate the information required for the preparation of financial analyses and reports.
- Support the preparation of reporting packages for lenders, including annual presentations, bank reporting packs, compliance certificates, and other required documentation.
- Assist in the preparation of reporting for rating agencies, including annual presentations and liquidity reports.
- Support the preparation of financial reports and analyses for shareholders, including liquidity reports, valuation reports, and other ad hoc requests.
- Coordinate the corporate forecasting and budgeting process across the Group.
- Coordinate the preparation of Group Balance Sheet and Cash Flow forecasts and budgets.
- Support the Corporate Finance Manager in strategic projects, such as working capital optimization initiatives, KPI monitoring, and the implementation of key financial improvement actions.
- Participate in meetings with local finance teams and contribute to the monitoring and follow-up of agreed action plans.
What We Are Looking For
We are looking for a professional with a university degree in Economics, Business Administration, Finance, Management, or a related field.
Candidates should have a minimum of 4 years of experience in a controlling, finance, auditing, or financial advisory role. Experience in multinational environments and exposure to consolidated financial reporting will be highly valued.
An advanced level of English is essential for this position, as it involves regular interaction with international stakeholders and teams.
Personal Profile
We would like to find someone with strong analytical capabilities, who enjoys working with financial data and transforming information into meaningful insights.
The idóneo candidate will be highly organized, detail-oriented, proactive, and capable of managing multiple priorities while meeting deadlines. Strong problem-solving skills, sound judgment, and the ability to work collaboratively with different stakeholders are also key to success in this role.
Advanced Excel skills and a strong command of financial reporting and analysis tools are required.
What We Offer
We offer stability through a permanent contract, flexible working hours, hybrid working options, intensive working days on Fridays and during holiday periods, and the opportunity to develop your career within a growing international group.
You will join a dynamic and collaborative environment, working on strategic projects with direct impact on the Group’s financial performance and decision-making processes.
In addition, you will have access to our employee benefits package, including private health insurance, life insurance, flexible compensation plans, educational support, and many other social benefits.