Welcome to this recruitment process with Vueling. At Vueling, we love things to happen. We always do our best to go one step further and do it better. We invite our people to celebrate their unique strengths, work as a team to overcome challenges and achieve their goals for the greater good.
Job Purpose
The Treasury Financial Controller is responsible for overseeing liquidity planning, cash flow performance and treasury‑related financial control activities. The role ensures robust cash forecasting, funding visibility, financial discipline and high‑quality treasury insights to support strategic decision-making.
Main Responsibilities – Tasks
* Liquidity & Cash Flow Control
* Funding & Financial Structure Oversight
* Treasury Performance & Financial Insights
* Process Improvement & Modelling
* Coordinate and lead the cash forecasting process by ensuring that long‑ and short‑term forecasts are aligned with budgetary goals and operational needs
* Integrate different data sources to provide consistent and reliable information for business areas
Main Relationships
* Internal: Management Committee Directors, Senior Managers and Managers from Production area, All Finance & Corporate
* External: Consultants, Audit Teams, IAG GBS and FRM Team
Education
* Bachelor’s degree in ADE or engineering is required
Experience
* 3/4 years of experience in a dynamic sector are required
* Experience in strategic leading consulting firm or general consulting
* Previous working experience in aviation/airlines is a plus
* Previous working experience in a Management Control team or Treasury team
Competencies
* Working under pressure
* Proactive and ability to adapt to different tasks
* Teamwork skills
* Assertive communication
* Drive for results
* Results‑oriented
* Organized
* Commitment
* Dynamic and enthusiastic
Languages
* Spanish C1
* English C1 (B2 is absolute minimum requirement)
Other
* Advanced knowledge of Office pack (especially Excel – mandatory), Tableau and SAP is required
* Strong data analysis
* Financial knowledge (P&L, Cash Flows, etc.)
* Accounting knowledge of Financial Risk, cash and Balance sheet performance
Location
* Barcelona‑Viladecans, Spain
Level
* Individual Contributor 5
Our Culture
We thrive on teamwork and collaboration. Joining our team means being part of a cohesive unit that works together, shares knowledge, and supports each other. Our positive working atmosphere is unique and essential to our productivity and growth. You'll be surrounded by diverse and dynamic professionals. We are passionate about what we do: Connecting People and Places!
Our Recruitment Process
Your experience as a candidate is critical for us. We firmly believe that understanding our process will alleviate anxiety and ignite your passion for this extraordinary experience.
#J-18808-Ljbffr