A global service provider in Spain is seeking a Cash Controller to oversee liquidity planning and control. The ideal candidate will have over 5 years' experience in treasury functions, a Bachelor’s Degree in Finance or Economics, and strong analytical skills. Responsibilities include preparing cash flow forecasts, managing liquidity, and communicating with international finance teams. Proficiency in Microsoft Excel and treasury systems like SAP or Kyriba is essential. Fluency in English and Spanish is required, with additional languages as a plus.
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