WHO WE ARE
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Konecta is a leading innovative global service provider in customer management business process and digital outsourcing, with 120,000 passionate employees working in 30 languages across 4 continents and 26 countries.
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Focusing on the unique needs and opportunities of each industry, Konecta offers a full range of end-to-end customer management solutions – including acquisition, retention, customer service, technical support, and collection – all based on a sustainable business model. These services are built on a portfolio of world-class expertise covering customer experience and process management, digital solutions and cutting-edge technologies.
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Headquartered in Madrid, Konecta delivers general revenues of €2 billion with more than 500 clients, covering some of the biggest names in telecoms, energy, banking, mobility, retail, and e-commerce.
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MISSION OF THE ROLE The Group FP& A Manager is responsible for ensuring the accuracy, integrity, and strategic relevance of the company's financial reporting while acting as a trusted business partner to senior leadership.
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The role oversees month-end closing and complex financial analysis, providing clear visibility on performance across clients, campaigns, and geographies. By leading forecasting, budgeting, and variance analysis processes, the Group FP& A Manager transforms financial data into actionable insights that support decision-making, optimize performance, and drive sustainable business growth.
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The position plays a critical role in shaping financial governance, strengthening cross-functional collaboration, and supporting executive-level strategic discussions.
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RESPONSIBILITIES
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Oversee the month-end closing process, ensuring rigorous quality control over financial reporting.
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Coordinate with business departments to implement and lead periodic reviews of business performance.
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Monitor and analyze margins and variances by client, campaign, and country.
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Conduct in-depth variance analysis (vs. budget, prior month, and prior year) for P& L, Working Capital, Cash Flow, and Net Financial Debt.
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Partner in the coordination and preparation of rolling forecasts, quarterly forecasts, and the annual budget.
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Develop high-impact and comprehensive reports for stakeholders and the Executive Committee.
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Support strategic corporate initiatives led by Finance department, including M& A opportunities, financial due diligence processes, business plan development, and investment evaluation.
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REQUIREMENTS
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Bachelor's Degree in Finance, Economics, Engineering, or a related field.
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5+ years proven experience in Big4 (preferably Transaction Services) or as a Financial/Business Controller within an international environment.
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Extensive experience in financial statement analysis and complex reporting.
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Proven track record in managing month-end and year-end closing processes.
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Strong organizational skills, with a demonstrated ability to multitask and thrive under tight deadlines.
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Exceptional attention to detail and the ability to consolidate high volumes of data while maintaining a strategic, high-level overview.
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Excellent communication skills, with the ability to translate financial insights into actionable business decisions.
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Adept at summarizing key conclusions for Group Management and interacting with executive-level stakeholders.
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Expert proficiency in Excel and the MS Office Suite.
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Fluency in English and Spanish. xugodme Proficiency in additional languages (French, Portuguese, or Italian) is highly valued.