Responsibilities Support preparing and overseeing the budget preparation.
Support reviewing transactions at entity holding level.
Review accurate financial statements, including Balance Sheet, P&L, and Cash Flow.
Support the audit processes.
Review and oversee all financial statements, including income statements, balance sheets, shareholder reports, tax returns, and other financial / tax-related reports.
Track cash flow and financial planning, analyzing the company's financial strengths and weaknesses, and proposing corrective actions.
Support treasury functions by coordinating and managing the treasury / cash planning of the portfolio.
Monitor bank transactions and balances, and forecast cash flow / capital requirements.
Check and monitor tax activity to ensure the company's compliance with tax obligations.
Qualifications Minimum 1-2 years of relevant working experience.
Highly organized, ability to prioritize, and detail-oriented.
Fluent in English and Spanish; other European languages are a plus.
Excellent management, analytical, and organizational skills.
Knowledge in Spanish GAAP; IFRS desirable.
Benefits Fixed annual salary + target bonus
Hybrid Work
Opportunity to work with a leading independent power producer in the renewable energy sector.
Dynamic and collaborative work environment.
Professional growth and development opportunities.
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